Work Details: 5.5 Days, Monday to Fri 9am to 6pm | Sat 9am to 1pm.
Bonus : Subject to company / individual performance
Job Responsibilities
Manage daily bookkeeping and accounting tasks, including collecting and reviewing reimbursement documents from various departments (income/expense vouchers, document archiving, etc.);
Liaise with banks, tax authorities, corporate secretaries, and accounting service providers to handle bank account maintenance, tax filing, annual returns, and other related matters;
Oversee the company's cash flow, including cash disbursements/receipts, bank reconciliations, and financial risk monitoring.
Coordinate with the Mainland China headquarters to ensure cross-border financial data alignment and support audit processes.
Handle daily cashier operations and cash safekeeping for physical store(s);