Senior Accountant

Pierre Fabre

Hong Kong, Hong Kong
Full sets of accounts
Month-end journal entries
Bank reconciliation
Handle full sets of accounts including receivable, client settlement, month-end journal entries, bank reconciliation, tax provision etc

Job Summary

  • Handle full sets of accounts including receivable, client settlement, month-end journal entries, bank reconciliation, tax provision etc.
  • Support monthly financial accounts closings and management reporting, and contribute to the annual financial statements.
  • Complete tax filings and deal with matters relating to the IRD, while cooperating and coordinating with auditors and business partners.

Matching Summary

Handle full sets of accounts including receivable, client settlement, month-end journal entries, bank reconciliation, tax provision etc.

Skills & Requirements

Must-have

  • Full sets of accounts
  • Month-end journal entries
  • Bank reconciliation
  • Tax provision
  • ERP system data entry
  • AR/AP management
  • Cash and bank balances monitoring
  • T&E system management

Nice-to-have

  • Continuous improvement of internal procedure
  • Risk management participation
  • Diversity as a source of fulfillment
  • Government-recognized public-interest foundation

Key Requirements

  • Experience with full sets of accounts
  • Experience with tax filings
  • Experience with auditors

Work Rights

Not specified

Tailored Resume

Cover Letter