【招聘】财务
新加坡韦立集团诚聘一名财务
韦立集团总部位于新加坡,在中国青岛、中国北京、印尼雅加达、非洲几内亚都设有公司。近年来集团在非洲铝土矿项目发展迅速,从初期到如今,短短两年半的发展,从码头、开矿、水上物流、运输等等方面都在蒸蒸日上的发展。年运货量从几十万吨到1500万吨,到今年的3000万吨目标,堪称一个业界神话!韦立集团联合山东魏桥、烟台港集团以及几内亚UMS公司组成赢联盟组织,协同四方,共同开发铝土矿;同时也广纳贤才、招商引资,致力于共同发展和打造几内亚这个国家。我们的辉煌将载入非洲历史史册!未来的宏图希望有你的加入!让我们一起携手继续神话,继续精彩!韦立集团总部目前招聘一名财务。
Accounts/Shipping Executive
Responsibilities:
Responsible for full sets of accounts
Responsible for daily operations of cash management
Prepare timely and accurate daily / weekly / monthly cash reports
Prepare and execute cash flow plan to meet company's business requirement
Support continuous improvement effort in cash management
Prepare Letter of Credit
Liaise with banks on LC opening, presentation and negotiation
Liaise with Auditors on preparation of annual financial statements
Accurate and timely submission of income tax and GST returns
Report financial matters to FinancialManager/CFO
Other adhoc duties
Requirements:
Bachelor's degree/diplomaholder
Minimum 3 years accountingexperience with 1-2years in handling of LC
Possess strong technicalaccounting knowledge, analytical skills and problem solving skills
Proficiency with MicrosoftOffice
Bilingual in Chinese andEnglish, possess strong verbal and written communications skills
Must maintainconfidentiality and discretion in all aspects
Must be a team player andalso be able to work independently with minimum supervision while demonstratingattention to detail
Other Information:
5 days work week in centraldistrict
Salary will commensurateaccordingly to experience and qualification
Able to commence immediatelywould be added advantage
Qualified or interested candidates, please prepare your CV with one recent photo. Contact HR Jiawen: 66926873.
韦立集团总部位于新加坡,在中国青岛、中国北京、印尼雅加达、非洲几内亚都设有公司。近年来集团在非洲铝土矿项目发展迅速,从初期到如今,短短两年半的发展,从码头、开矿、水上物流、运输等等方面都在蒸蒸日上的发展。年运货量从几十万吨到1500万吨,到今年的3000万吨目标,堪称一个业界神话!韦立集团联合山东魏桥、烟台港集团以及几内亚UMS公司组成赢联盟组织,协同四方,共同开发铝土矿;同时也广纳贤才、招商引资,致力于共同发展和打造几内亚这个国家。我们的辉煌将载入非洲历史史册!未来的宏图希望有你的加入!让我们一起携手继续神话,继续精彩!韦立集团总部目前招聘一名财务。
Accounts/Shipping Executive
Responsibilities:
Responsible for full sets of accounts
Responsible for daily operations of cash management
Prepare timely and accurate daily / weekly / monthly cash reports
Prepare and execute cash flow plan to meet company's business requirement
Support continuous improvement effort in cash management
Prepare Letter of Credit
Liaise with banks on LC opening, presentation and negotiation
Liaise with Auditors on preparation of annual financial statements
Accurate and timely submission of income tax and GST returns
Report financial matters to FinancialManager/CFO
Other adhoc duties
Requirements:
Bachelor's degree/diplomaholder
Minimum 3 years accountingexperience with 1-2years in handling of LC
Possess strong technicalaccounting knowledge, analytical skills and problem solving skills
Proficiency with MicrosoftOffice
Bilingual in Chinese andEnglish, possess strong verbal and written communications skills
Must maintainconfidentiality and discretion in all aspects
Must be a team player andalso be able to work independently with minimum supervision while demonstratingattention to detail
Other Information:
5 days work week in centraldistrict
Salary will commensurateaccordingly to experience and qualification
Able to commence immediatelywould be added advantage
Qualified or interested candidates, please prepare your CV with one recent photo. Contact HR Jiawen: 66926873.