Job description
Financial Management
- Manage and follow up on revenue and issue invoices.
- Manage cash flow, bank transactions, and accounting documents and records.
- Control accounts receivable (AR) and accounts payable (AP), and reconcile them.
- Prepare and apply monthly, quarterly, and annual tax reports.
Auditing and Compliance
- Verify the completeness and legality of incoming and outgoing invoices and documents
- and monitor financial records to ensure compliance with legal and taxation regulations.
- Responsible for internal financial audit and coordinating the internal or external audit process.
- Provide data and documents to explain to tax and social insurance authorities upon request.
- Monitor and remind internal and third-party entities to complete various reports and meet submission deadlines.
Process Improvement and Collaboration
- Build up and maintain all financial processes, especially target setting and team internal processes; periodically review to update if there are any amendments.
- Proactively set up or participate in related meetings to build new processes and streamline existing processes to optimize workflow.
- Ensure collaboration between finance and other departments or business units runs in conformity.
- Provide advice on all matters regarding financial management to the line manager.
- Manage and deliver projects/tasks as assigned by the line manager.
- Manage salary payments, including attendance checking and other benefits related to employee compensation.
REQUIREMENTS
- Bachelor's/Master's degree in a relevant field
- Acquired Chief Accountant degree
- At least 5 years of experience in accounting, preferred when having general accounting experience, and in SAAS or technology industries
- Demonstrate integrity, responsibility, and willingness to support the operation of other departments
- Good Business English level