Lantau Island, New TerritoriesTemporaryThis is a 6 months’ temporary assignment. The Accounting Assistant performs day to day revenue reconciliations between POS, SAP and cash / non-
cash receipts, post and monitor the sales over / short of each sales locationResponsibilities : Manage day to day revenue (cash & non-
cash transactions) reconciliation.Understand business operations needs and work with LOB to reconcile accounting differences.
Prepare weekly reports (e.g. Sales Over / Short report) of the responsible LOB.Prepare month end schedulesSupport team leader in handling ad hoc tasks (e.
g. UAT for new systems / system enhancement) and prepare analytical report for manager reviewBasic Qualifications : Diploma holder or DSE graduates2 years’ experience in Sales Audit, Reconciliations, Accounting or 2 years’ experience in cashier role in HKDLProficient in Excel and PowerPoint Fluent in both English and ChineseAble to handle multi-
tasks effectivelyIndependent, self-motivated and able to work with people at all levelsAdditional Information : SUBMITTING YOUR APPLICATIONAfter clicking Apply for this job below, the employment application will open in a new window.
Please complete ALL pages of the application in ENGLISH by clicking Next on each page, then Submit on the final page.