This is for 18 Month contract position
The Role
- Treasury & Cash Operations: manage daily cash operations, including monitoring bank balances and executing fund transfers.
- Account Re Receivable & Cash Application: record and apply incoming cash to open invoices and resolve any discrepancies promptly.
- VAT Preparation & Payment: prepare and submit periodic VAT returns accurately and on time, and process the related tax payments.
- Account Payable Backup: provide backup support for AP tasks as needed to ensure team coverage and continuity.
- Mon th-End Closing Support: support the team leader with month-end closing for cash, accounts-receivable and tax-related accounts.
- Process Improvement: contribute to finance projects that improve treasury and tax processes and overall productivity.
What we expect of you?
- 2+ years’ experience in an accounting or financial management position
- Demonstrated creative and critical thinking skills
- Proficient Microsoft Excel and ERP experience would be plus
- Team player.
- Have decent communication and interpersonal skills and the
- Ability to handle sensitive and confidential information.
City
Shiheung, Gyeonggi-do
Recruiter
Hugh Park ( [email protected])
Hiring Manager
JaeEui Chang (Business Controller)