Responsibilities:
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Prepare the daily Bank Reconciliation of the Outport Banks
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Report the funding position of Due From Outport Banks and Due From Overseas Branches Remittance A/C to Treasury Dept
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Implement the proper control to ensure the unreconciled items are identified and follow up
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Prepare the Bank Confirmation for Outport Banks
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Take up ad hoc projects as assigned
Requirements:
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Post-secondary education or above, with sound accounting knowledge
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Pass in LCCI Bookkeeping and Accounting (Level 2)
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Minimum 2 years of relevant experience, preferably in banking or accounting industry
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Good communication, interpersonal and analytical skills
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Proficient in MS Office applications including Chinese word processing
(Candidates with less experience will be considered for the position of Associate, Finance)