• Prepare vouchers of Accounting related entries and book into system with accuracy.
• Perform various kinds of account reconciliation (due from banks, Nostro accounts and internal suspense accounts), communicate with operation Depts. to investigate outstanding items and settle it in a timely manner.
• Generate and complete of Head Office quarter and term end closing reports with accuracy and reliable financial information.
• Generate and complete the Regulatory Reports with accuracy and reliable financial information in compliance with local regulations.
• Keep up to date with changes to the current reporting requirements ensuring that all returns are completed in accordance with the rules and that the bank complies with them.
• Assist in the implementation of any departmental projects or initiatives.
• Support in developing and updating policies to ensure alignment with all relevant regulations.
• Develop recommendations for continuous improvement and support implementation.
• Support internal and external audits within the department by preparing documentation as required.
• 會計相關帳務處理
• 執行銀行往來對帳及編製銀行往來調節表
• 編製總行季報、提供總行可信的財務資訊
• 編製主管機關法規報表
• 營業稅、印花稅計算
• 協助財務報告查核與稅務報告查核等相關事項