Hong Kong SAR
Cash flow forecast & management per week Margin control & report Daily accounting transactions Month end closing activities Report preparation to senior management Liaise with auditors & company secretary
Prepare schedule analysis and preliminary analysis monthly and quarterly Assist in budget Handle full set of accounts for companies with shops in Hong Kong and Macau - Participate in month-end closing - Daily accounting transactions - Assist in tax computation, transfer pricing and audit reports
Handle full set of accounts for companies - forecast and budget - Daily accounting transactions and ensure sufficient funds to meet their disbursements - monthly banking reconciliation, financial statements, and schedule analysis - tax computation and audit reports Assist in analyzing financial statements Prepare reports to account manager