Responsibilities
- Maintain the completeness, accuracy and integrity of the bank reconciliation process of the Bank.
- Perform and supervise subordinates to conduct the bank reconciliation and take prompt and proper follow-up actions for outstanding items with relevant departments.
- Streamline and automate the bank reconciliation process
- Work with other department users for project development and system interface testing
- Act as system administrator of Financial Management System (FMS) for system record maintenance, report scheduling and retrieval, data query and report development, inbound and outbound file development and control
- Perform high level review on GL interfaces testing and ensure that GL entries are complied with the validation requirements of the GL system and the predefined accounting rules
- Act as system administrator of the Financial Consolidation System (HFC), maintain and develop HFC reports, forms and Excel template
- Develop and support the Excel VBA spreadsheet used by Finance Division
Requirements
- University graduate and bachelor degree holder, preferably in accounting, business administration, information technology or related discipline
- HKICPA or equivalent professional qualifications is an advantage
- Preferable over 5 years of experience in banking / accounting / information technology
- Accounting knowledge of treasury and financial derivative products is an advantage
- Experience in administrating accounting system, using reporting tools such as SQL, Excel VBA, system project implementation is an advantage
- Sound knowledge in banking operations and bank reconciliation
- A team player with good communication skills and risk awareness
- Self-initiated, analytical, and able to work under pressure
- Independent, self-motivated, and detail-oriented
- Proficiency in both spoken and written English and Chinese, fluent in Mandarin is preferable
*Candidate with less experience will be considered as Officer.