Responsibilities 岗位职责
- Daily bank reconciliation 每日银行账户管理
- End-to-End Account Payable Reconciliation 账户应收款项管理
- Cash Income/Expenses reconciliation 现金收入/支出管理
- Monthly reporting 制作每月财务报表
- Assist directors for cost control 协助经理进行成本控制
- Timely reports and prepare presentations/proposals 及时进行财务报告/准备PPT和提案
- Assist external accountant to prepare BAS on quarterly basis. 协助外部会计师准备每季度BAS
- Fix asset registration system establishment and management 协助资产登记系统的建立和管理
- Vehicle fines nomination and management 车辆罚款管理
- Coordinating head office activities and operations. Other ad hoc works as per required. 协助总部的活动和其他运营,以及上级布置的其他任务
Salary:40,000/ annual include super 年薪:40,000+ Super
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