Monitor daily cash positions and ensure liquidity for operational needs
Support treasury functions and relevant KPI achievements as required by the group
Responsible for timely and accurate group financial reports
Handle full sets of accounts, month-end closing and schedules
Arrange payments of supplier invoices and prepare accounting entries
Liaise with auditors and tax advisors for compliance with statutory audit and taxation requirements
Handle enquiries from different parties
Perform ad-hoc assignments as delegated
Bachelor's degree in Accountancy / LCC higher or above
Minimum 5 years of experience in Accounting and Treasury
Hands-on experience in computerized accounting system, e.g. Oracle is preferred
Proficient in computer applications (e.g. MS Excel, Word, etc.)
Good command of written and spoken English and Chinese
Independent, capable to work under pressure and meet deadline
Good analytical skills, proactive and result-oriented approach to problem solving
Knowledge of company secretarial practices would be an advantage
Account & Audit>Accountant
Account & Audit>Corporate Finance
Account & Audit>Others
HK$ -
Full Time