1. 安排銀行付款,包括人民幣及符合國家外匯管制的美金對外支付; 2. 業(yè)務系統(tǒng)的應收賬款核銷; 3. 負責費用報銷審核及入賬; 4. 客戶合同的維護存檔工作; 5. 每周編制銀行余額及現(xiàn)金流預測報告; 6. 協(xié)助客戶的應收賬款催收; 7. 月度銀行余額調節(jié)表編制; 8. 根據要求編制月末結賬相關報表 9. 領導安排的其他臨時性工作 1. Payment arrangement including CNY, and USD satisfying foreign currency control policy; 2. AR settlement in Cargowise system; 3. Maintenance of G&A journal entries; 4. Customer contract documentation; 5. Weekly bank balance report and cash flow projection report; 6. Assist in outstanding AR dunning; 7. Monthly bank statement reconciliation; 8. Month end closing report as assigned; 9. Other ad hocs Requirement: 1.College degree or above with major in Finance or accounting; good skill in MS Office, preferably have Cargowise system experience; 統(tǒng)招大專及以上財務相關專業(yè),良好的MS office軟件操作技能,有Cargowise系統(tǒng)經驗者優(yōu)先; 2. Patient, careful, and good communication & coordination ability; 耐心仔細,具有良好的溝通協(xié)調能力; 3. Strong sense of responsibility, and awareness of teamwork. 較強的責任心以及團隊合作意識。