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Handle full-cycle accounting for the Shenzhen office, including daily transactions, billing, and reconciliations. Report to the HK Financial Controller and coordinate with the Shanghai team, external firms, and banks. Support the month-end closing process and contribute to financial analysis and reporting. Provide financial and administrative support to the local partner, assisting with banking and other office tasks.
Job Responsibility
Handle full-cycle accounting for the Shenzhen office, including daily transactions, billing, and reconciliations
Report to the HK Financial Controller and coordinate with the Shanghai team, external firms, and banks
Support the month-end closing process and contribute to financial analysis and reporting
Provide financial and administrative support to the local partner, assisting with banking and other office tasks
Requirements
4-5 years in a finance/accounting role with a relevant degree or professional qualification in progress
Fluency in English and Chinese (written and verbal) is essential
Cantonese is a strong plus
Proficiency in MS Office with sharp attention to detail and data accuracy
An independent worker with excellent prioritization skills and a proven ability to meet deadlines