财务出纳cashier
明纵实业发展(上海)有限公司
- 公司规模:1000-5000人
- 公司性质:合资
- 公司行业:互联网/电子商务 快速消费品(食品、饮料、化妆品)
职位信息
- 发布日期:2015-06-14
- 工作地点:上海
- 招聘人数:1
- 工作经验:应届毕业生
- 学历要求:大专
- 职位月薪:3000-4499
- 职位类别:出纳员 财务/会计助理
职位描述
职位描述:
1.负责日常现金及票据的收付、保管及费用报销;
2.划转、核算内部往来款项,到款确认,及时登记现金、银行日记帐;
3.现金、银行凭证制作、装订、保管;
4.固定资产、办公用品、低值易耗品的帐务管理、核对与盘点;
5.协助会计准备每日、月单据及报表,完成月末结账报税等工作;
6.协助部门管理相关客户档案;
7.盘点每日现金与系统余额核对,月底配合财务部核对所有银行存款的余额;
8.银行事务的对外联络人,收集银行水单;
9.对财务部的财务分析,年度审计和会计凭证,会计资料的整理工作提供支持。
职位要求:
1.大专以上学历;
2.能熟练操作Word、Excel等,有基本的文字撰写及数据统计能力;
3.有会计上岗证。
Job description:
1. Responsible for the daily cash and bills, storage and the receipt and expense;
2. Transfer, accounting, internal money exchanges to confirm, timely registration of cash, bank journal;
3. Cash, bank documents making, binding, custody;
4. Fixed assets, office supplies, low-value's account management, check with inventory;
5. Assist accountant prepare daily, monthly documents and reports, completed bill declare dutiable goods, end
6. Assist department management related the customer file;
7. Daily cash and inventory system, check the balance at the end of all cooperate with finance department to check the balance of bank deposits;
8. Bank of foreign affairs, collecting bank single contact water;
9. To the finance department of the financial analysis, annual audit and accounting vouchers, accounting material finishing work provide support.
Requirements:
1. Bachelor degree or above, administrative and financial or English major is preferred;
2. Can skilled operate using Word, Excel, etc, a basic text writing and data statistics ability;
3. Have accounting for posts driver license is preferable.
1.负责日常现金及票据的收付、保管及费用报销;
2.划转、核算内部往来款项,到款确认,及时登记现金、银行日记帐;
3.现金、银行凭证制作、装订、保管;
4.固定资产、办公用品、低值易耗品的帐务管理、核对与盘点;
5.协助会计准备每日、月单据及报表,完成月末结账报税等工作;
6.协助部门管理相关客户档案;
7.盘点每日现金与系统余额核对,月底配合财务部核对所有银行存款的余额;
8.银行事务的对外联络人,收集银行水单;
9.对财务部的财务分析,年度审计和会计凭证,会计资料的整理工作提供支持。
职位要求:
1.大专以上学历;
2.能熟练操作Word、Excel等,有基本的文字撰写及数据统计能力;
3.有会计上岗证。
Job description:
1. Responsible for the daily cash and bills, storage and the receipt and expense;
2. Transfer, accounting, internal money exchanges to confirm, timely registration of cash, bank journal;
3. Cash, bank documents making, binding, custody;
4. Fixed assets, office supplies, low-value's account management, check with inventory;
5. Assist accountant prepare daily, monthly documents and reports, completed bill declare dutiable goods, end
6. Assist department management related the customer file;
7. Daily cash and inventory system, check the balance at the end of all cooperate with finance department to check the balance of bank deposits;
8. Bank of foreign affairs, collecting bank single contact water;
9. To the finance department of the financial analysis, annual audit and accounting vouchers, accounting material finishing work provide support.
Requirements:
1. Bachelor degree or above, administrative and financial or English major is preferred;
2. Can skilled operate using Word, Excel, etc, a basic text writing and data statistics ability;
3. Have accounting for posts driver license is preferable.
公司介绍
公司经营150余年,总部设于日内瓦,始终坚持顾客至上的精神,以产品质量为本,不断寻求优质的服务,凭借丰富的市场经验、良好的商业信誉和不断锐意进取的精神,屡创佳绩,在业界得到了客户的一致好评。
目前,我们的产品已经广泛的应用在交通、通信、医疗、工控、军事、航天、消防、船舶、金融、娱乐等多个领域,并且通过与客户长期的合作,形成了双赢的客户关系,充分得到了客户的信赖。
未来依托创新的产品设计和先进的营销理念,实现与上下游价值链共同增值,公司将依靠战略、团队、产品三大核心能力,持续推动企业与品牌的快速成长。
目前,我们的产品已经广泛的应用在交通、通信、医疗、工控、军事、航天、消防、船舶、金融、娱乐等多个领域,并且通过与客户长期的合作,形成了双赢的客户关系,充分得到了客户的信赖。
未来依托创新的产品设计和先进的营销理念,实现与上下游价值链共同增值,公司将依靠战略、团队、产品三大核心能力,持续推动企业与品牌的快速成长。
联系方式
- 公司地址:上班地址:中环广场汇博写字楼