Responsibilities
► Manage daily financial operations, including payments, receipts, and bank reconciliations.
負責公司日常現金及銀行存款的管理,包括收付款、銀行對帳及資金調配。
► Regularly organize financial vouchers and reconcile bank balances to ensure accuracy.
定期整理財務憑證與核對銀行存款餘額,確保帳實相符。
► Monitor accounts receivable and payable to ensure timely collections and payments.
編製應收及應付帳款管理報表,確保帳款收支正常。
► Compile financial reports, such as cash flow statements and bank reconciliation statements.
編製相關財務報表,如現金流量報表、銀行對帳單等。
► Assist in the preparation and analysis of financial reports, capital management, and budget planning.
協助財務主管完成各項財務分析、資金及預算規劃工作。
► Execute other tasks as assigned by management.
其它主管交辦事項。
• Minimum of 3 years of experience in finance and accounting.
具業界3年以上財會相關工作經驗。
• Strong problem-solving skills and ability to collaborate across departments.
具備解決問題及跨部門溝通合作的能力。
• Excellent analytical skills and high sensitivity to financial data.
具備良好邏輯分析能力與數據敏感度。
Great Work, Greater Life
我們不只是工作,更是一場成長旅程!讓你在工作中發揮潛力、挑戰自我,讓工作充滿成就感,讓生活更精彩豐富,共同打造理想未來!
我們相信,健康是一切的基礎,因此我們提供最完善的照顧,讓你安心投入工作與生活。
我們鼓勵每位夥伴不斷學習、持續精進,在專業領域中成為更好的自己!
我們珍惜每一個時刻,讓你感受到家的溫暖!
我們希望你不只是來「上班」,更能在這裡找到樂趣與成就感!
Here, you're more than just an employee—you're a valued partner, growing, innovating, and achieving success alongside us. If you're looking for a workplace where you can thrive, create meaningful impact, and truly enjoy your work, your journey starts here!