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			  職位信息 | 
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| 職位名稱: | 出納 | 月薪水平: | 面議或未公開(kāi) | 
| 工作性質(zhì): | 全職 | 職位類別: | 財(cái)務(wù)類 | 
| 工作地區(qū): | 太倉(cāng)市 | 作息制度: | |
| 食宿情況: | 招聘人數(shù): | 1人(當(dāng)前應(yīng)聘0人) | |
| 福利待遇: | |||
| 工作描述: | 
			Key Accountabilities/Responsibilities: Daily work-Treasury A: Daily Cash and Bank transaction task, and Company Credit Card B: Twice payment one month task C: Making collection task on Local and Foreign customer D: E-banking of Bank of America and Bank of China F: New Bank accounts create, change, delete’s task I: Support monthly close treasury task BW internal financial reporting A: Daily Cash balance reporting B: monthly bank note reporting C: monthly Liquidity reporting External affair & reporting A: Annual Licenses Inspection of treasury function B: Annual internal and external audit of treasury function Daily work-Document filing&PU1 master maintain A: VAT invoice, general invoice, Export invoice, BT invoice issue Other task which assigned by Accounting Manager Makes safety cost aside in Finance, and guarantee for safety usage. Ensure TRIR & GSSF to reach yearly target Requirements/Qualifications: College Degree or above with major in Finance or accounting. Good English skills (oral and written). Positive thinking on own job for job efficiency improvement Able to work independent and as a team player Good work attitude, flexible to welcome new assignments  | 
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			  應(yīng)聘要求 | 
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| 學(xué)歷要求: | 大專 | 專業(yè)類別: | 不限 | 
| 詳細(xì)專業(yè)要求: | 不限 | ||
| 適宜性別: | 不限 | 年齡要求: | 不限 | 
| 工作經(jīng)驗(yàn): | 不限 | 戶籍要求: | 不限 | 
| 外語(yǔ)能力: | 英語(yǔ) 良好 | 計(jì)算機(jī)能力: | 不限 | 
| 技能資質(zhì): | 不限 | ||
| 其它要求: | 不限 | ||
			  更多職位信息 | 
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| 首次錄入時(shí)間: | 2017-01-09 11:27:01 | ||


