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 mouthly bank reconciliation and filing of bank statements;
3.编制阅读现金流量报告;Prepare mouthly cash flow report;
4.财务档案整理存档;Finance document archiving;
5.其他临时工作任务。Others appointed task.
岗位要求:
1财务专业优先;Major in finance or Accounting will be preferred;
2.熟悉办公软件,特别是Excel技能;Be familiar with MS-office software especially Excel;
3.良好的英语能力(听、说和写);Good command of Engilsh in listening,speaking and writing;
4.2022届毕业生优先;Graduate in 2022 is preffered;
5.每周至少4天出勤。Be present at least 4 days a week.