职位描述
1、日常付款,准备资金日记账;
Daily payment and prepare cash journal;
2、每月银行对账,编制银行对账单;
Prepare monthly bank reconciliation and filing of bank statements;
3、编制月度现金流量报告;
Prepare monthly cash flow report;Payment tracking,Monthly aging report;
4、与客户对账,开具发票,跟踪回款,每月账龄分析;
Customer reconcil,invoice issue,Payment tracking,Monthly aging report;
5、其他临时工作任务;Others appointed task.
任职资格:
1、财务专业优先 ;
Major in Finance or Accounting will preferred;
2、熟悉办公软件,特别是Excel技能。
Be familiar with MS-office software especially Excel.
PS:此岗位为外包岗位,任职期限1年左右,介意者慎投。