cash and fx management – monitor daily cash position by bank account, familiar with approach in managing different type of deposit and maximize benefit within company policy; prepare and submit cash report per requirement timely and accurately; declare fx receipt and payment in compliance with safe regulation;
vat declaration and tax report – understand tax regulation and provide timely information to financial accounting supervisor or manager for communication with all departments for any changes in need. declare vat input timely and accurately, and prepare all types of tax reconciliation; prepare and submit approved tax reports.
other affairs – perform 100% check for employee expenses claim to ensure compliance company procedure, rules and local regulation; prepare company statistic report and submit to government on time accurately.
1.college degree or equivalent
2.ability to use a basic range of language sufficient for familiar and non-pressuring situations.
3. 1 year of experience in position of cashier would be plus
4.good patient on repeated job and demonstrating a higher level of carefulness