Office Locations: Beijing / Shanghai / Shenyang / Chengdu / Xi’an / Zhuhai
Responsibilities
1. Maintain, reconcile and process multi-currency transactions through company accounting and month-end processes.
2. You will be involved in the analysis of financial results to ensure correctness and relevant provisions are accounted for.
3. You will provide ongoing support and maintenance of the financial infrastructure to ensure smooth business operations.
4. Review and/or approve general ledger account reconciliations.
5. Analyse and determine monthly accruals.
6. Prepare and load budgets and forecasts.
7. You will prepare and analyse monthly, quarterly and annual financial reports for the company.
8. Proactively engage and collaborate with relevant colleagues.
9. Fixed Asset Processing -Fixed Asset Creation, Modification, Withdrawal, Depreciation Execution of Capital Expenditure Reports.
10. Manage local quarterly and annual audit related activities International Statutory Audit.
Requirements
1. Preferably with a degree in accounting.
2. Computer skills.
3. Motivated, trustworthy individual with dedication and a strong work ethic.
4. Strong initiative and uses good judgement, reasoning and experience to solve problems.
5. Verify accuracy of general ledger processes and controls.
6. Understand and record journal entries for accruals, advances, payroll, VAT.
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