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招聘应聘:
招1人;当前36人应聘
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月薪水平:
面议
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职位类别:
财务类
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工作地点:
太仓市
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工作性质:
全职
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工作描述:
Main Responsibility
1.现金收支业务及核对,保证现金安全。
Cash receipt and payment, check and ensure the cash safety.
2.网银日常收付及外汇收支核销业务。
Online banking regular business ,foreign exchange income and expense issues.
3.现金及银行存款日清月结,月末银行对账单核对并编制银行存款余额调节表。
Keeping the cash in hand and bank correctly, check the balance and make bank balance reconciliation statement.
4.开具增值税专用发票及外销发票并寄送至客户。
VAT and export invoices billing and express to the customers.
5.核对月度供应商到期应付货款并准备付款资料。
AP reconciliation, checking and provide regular payment list of the suppliers
6.增值税专用发票认证及月末增值税进项及销项税额核对
Input VAT invoice authentication and checking
7.统计月度,季度及年度报表报送
Monthly, quarterly and yearly statistical report.
8.记账凭证装订归档及会计资料整理保管。
Binding the vouchers and safekeeping with financial information
应聘要求
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学历要求:
大专
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专业类别:
经济学类
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补充专业:
财务专业
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性别要求:
女
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年龄要求:
25岁 - 35岁
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工作经验:
2年及以上
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电脑水平:
熟练
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其他要求:
财务专业,二年以上出纳工作经验,熟悉航天开票系统及网银系统,能熟练操作金蝶财务软件及word,excel等office办公软件。工作细致认真,有团队合作精神。
Major in finance,2 years related cashier working experience ,be familiar with Hangtian system and online bank busniess, running Kingdee system and word,excel fluently.Hardworking and have team working spirit.