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Duties:
Handle AP, AR, GL, and prepare monthly/year-end financial statements and management reports.
Manage daily cash flow, bank reconciliations, and trade instruments
Perform analysis, stock valuation, and verify cross-border shipping and customs documentation.
Coordinate with external auditors, handle tax filings, and maintain internal financial controls.
Assist with annual budgeting and cash flow forecasting
Requirements:
To apply, please email your full CV with your last and expected salary in WORD format to hr@haystar.com.hk
(Data collected will be used for recruitment purposes only.)