1.Deliver monthly actual financial reporting package.
每月結帳財務報表編制
2.Assist in doing business analysis report or P&L account breakdown.
協助提供業務分析報告或相關損益科目之明細及差異分析說明
3.Consolidate entity level financial results for the purpose of group reporting requirements
合併報表作業及提供相關明細及財務分析
4.Coordinate budgeting/ forecasting and assist to develop budget / forecast.
預算協調制作並協助完成各項預算明細相關作業
5.Coordinate with related departments in data collection for completing the analysis requirement from superior.
與各相關部門溝通協調並蒐集所需預算資料及以完成各主管需求之財務分析
6.Manage day to day T&E process for own brand.
負責廠商貨款及相關應付款項的帳務處理
7.Inventory flow adjustment
存貨流轉調整
歡迎應屆畢業生投遞履歷。
您將負責
-處理並核對客戶日常存款和提款。
-支援銷售團隊,處理與與回覆帳務相關的詢問。
-與第三方做溝通,核對並確認存款和提款的狀態。
加分條件
-會計、財務或相關領域的學士學位。
-對數字熟悉、敏感
-熟悉Excel
-高度細心和準確性
-喜歡與人溝通
-英文讀/寫能力中等
▍Your Responsibilities
-Day-to-day customer deposit and withdrawal process.
-Support sales team and attending to all Treasury related inquiries.
-Responding to customer’s email and ticket inquiries.
-Communicate with third party gateway for deposit and withdrawal status.
▍Requirements
-Strong computer skills and proficiency in Microsoft suite.
-Thorough knowledge of XERO is a bonus.
-High attention to detail and accuracy, love dealing with numbers.
-Excellent communication skills.