Job Responsibilities
1. Handle daily cash transactions and bank settlements, ensuring fund security. 2. Maintain daily ledger entries, performing daily and monthly reconciliations to ensure accuracy. 3. Review reimbursement documents for compliance with Vietnam tax invoice regulations. 4. Manage bank account records, promptly printing statements and transaction receipts. 5. Assist in preparing weekly/monthly cash flow reports and support supervisors in fund forecasting. 6. Process bank-related procedures (account opening/closing, forex settlements) and update foreign exchange rate records.
Job Requirements
1. 1+ years of hands-on experience in cashiering or accounting (manufacturing industry preferred), with knowledge of Vietnam cash management and banking procedures. 2. Proficiency in Vietnamese (required for basic bank/tax-related communication). 3. Skilled in Excel and financial software; detail-oriented with a strong sense of responsibility. 4. Based in Vietnam; candidates with local banking connections are preferred. Location: Long An
Required Languages
Vietnamese, Mandarin
Job Details
Position type
Accountant/Finance Professional
Experience
1~3 years