To process invoices, expenses, vendor maintenance requirements, and account clearing, ensuring all transactional and accounting entries and reconciliations are accurate, complete and by specified deadlines.
Responsibilities :
invoicesexpense requestsvendor maintenanceValidation of invoice data entries made by the Local Service Centres, and uploading to the accounting system(s)Ensure all accounting entries and reconciliations are completed for month end close, or other defined deadlinesQualifications :
- Fluent in Mandarin
- Experience of financial accounting in a blue-chip multinational environment.
- At least 1 year in similar experience