_RESPONSIBILITIES_
Responsible for all financial matters of the company including book
keeping, cash flow management, financial reporting, cost control,
vendor management, financial process control, tax planning & tax
filing, budget management, preparation of internal & management
report, preparation of interim and annual report, cross border
financial management with PRC company Develop innovative and effective
financial management system, and strive for continuous improvements on
all accounting procedures, financial controls and cost controls Liaise
with external auditors / consultants on interim / annual audit and tax
filing Establish and maintain a strong relationship with the banks and
the auditors Provide guidance in relation to tax compliance, tax audit
and tax planning implementation Prepare budgets, management reports
and other ad hoc reports
_REQUIREMENTS_ Form 5 or above 8+ years solid experience in accounting
and financial field with solid business operation experiences Strong
process control, treasury and cash flow management experience Solid
understanding of the regulatory and tax environment Solid project
management / planning experience and ability to think strategically
and creatively Strong analytical and communication skills, and
attention to details Excellent people management skills Excellent
command of both spoken and written English and Chinese Good
presentation and report writing skills Proficient with MS Office
applications including Excel and Word, and Chinese Word Processing Position: ?Finance Manager (Garment Manufacturer, San Po Kong)
_RESPONSIBILITIES_
Responsible for all financial matters of the company including book
keeping, cash flow management, financial reporting, cost control,
vendor management, financial process control, tax planning & tax
filing, budget management, preparation of internal & management
report, preparation of interim and annual report, cross border
financial management with PRC company Develop innovative and effective
financial management system, and strive for continuous improvements on
all accounting procedures, financial controls and cost controls Liaise
with external auditors / consultants on interim / annual audit and tax
filing Establish and maintain a strong relationship with the banks and
the auditors Provide guidance in relation to tax compliance, tax audit
and tax planning implementation Prepare budgets, management reports
and other ad hoc reports
_REQUIREMENTS_ Form 5 or above 8+ years solid experience in accounting
and financial field with solid business operation experiences Strong
process control, treasury and cash flow management experience Solid
understanding of the regulatory and tax environment Solid project
management / planning experience and ability to think strategically
and creatively Strong analytical and communication skills, and
attention to details Excellent people management skills Excellent
command of both spoken and written English and Chinese Good
presentation and report writing skills Proficient with MS Office
applications including Excel and Word, and Chinese Word Processing
We need : English (Good)
Type: Permanent
Payment:
Category: Others