Gathering, analyzing, and interpreting relevant financial data.
Evaluating and optimizing financial controls and procedures.
Managing accounts receivable and payable, as well as expenses.
Keeping records of invoices and tax payments, as well as reviewing and processing reimbursements.
Identifying financial liabilities and performing risk analysis on liquidity and cash flow.
Preparing financial reports, including projected returns on investment and growth rates.
Keeping abreast of regulatory requirements and best practices in financial administration.
Requirements Experience in dealing with numbers and the processing of financial information.
Proficient in using Microsoft Office with Excel skills would be an advantage.
Required language(s): English and Mandarin Chinese
Able to start work immediately or within short notice will be preferred.
Fresh Graduate is encouraged to apply.