1.執(zhí)行國家的貨幣政策和公司財(cái)務(wù)規(guī)章制度,及時更新現(xiàn)金收支表,做到日清日結(jié);
Financial rules of monetary policy and the implementation of the national , update the cash list, everyday closed;
2.嚴(yán)格遵守現(xiàn)金管理制度,庫存現(xiàn)金不得超過定額。不坐支,更不能私自挪用現(xiàn)金,未經(jīng)領(lǐng)導(dǎo)批準(zhǔn)的借條和白條紙單據(jù),不得報(bào)銷。
3.負(fù)責(zé)辦理經(jīng)費(fèi)領(lǐng)撥、支付、員工差旅預(yù)支登記,還款核銷;
Responsible for the allocation of funds, payment, staff travel advance registration, payment and cancellation;
4.認(rèn)真審查各種報(bào)銷或支出的原始憑證,保證票據(jù)的真實(shí)、合法、合理、有效,嚴(yán)格按照公司財(cái)務(wù)規(guī)章制度,根據(jù)規(guī)范的原始憑證,編制費(fèi)用報(bào)銷表;
We must seriously examine all kinds of original vouchers for reimbursement or expenditure, and ensure the authenticity, legality, rationality and effectiveness of the bills. In strict accordance with the company’s financial rules and regulations, we prepare the expense reimbursement list according to the standard original vouchers;
5.嚴(yán)格執(zhí)行安全制度。認(rèn)真管好現(xiàn)金、空白支票、空白收據(jù)及其他證券。
Strictly enforce the security system. Careful management of cash, blank checks, blank receipts and other securities.
6.貫徹執(zhí)行銀行結(jié)算制度,嚴(yán)格辦理境內(nèi)外收、付款等結(jié)算業(yè)務(wù),并及時在外匯管理局資金系統(tǒng)中申報(bào),同步更新外匯管理臺賬。
We must carry out the bank settlement system, strictly handle the settlement business such as collecting and payment at home and abroad, and timely declare it in the foreign exchange administration’s capital system, and synchronously update the foreign exchange management account;
7.加強(qiáng)銀行支票管理,負(fù)責(zé)支票簽發(fā),銀行余額調(diào)節(jié)表的編制;
Strengthening bank check management, issuing check and preparing bank balance adjustment table;
8.做好發(fā)票的購買、領(lǐng)用、開具、驗(yàn)收、保管工作;
Responsible for the allocation of funds, payment, staff travel advance registration, payment and cancellation of the invoice for the purchase, use, opening, acceptance and custody of the invoice ;
9.增值稅專用發(fā)票的及時審核比對;
Comparison of the timely audit of VAT special invoices ;
10.根據(jù)審核無誤的原始憑證及時編制記賬憑證;
Timely compilation of billing vouchers according to unmistakable original vouchers ;
11.財(cái)務(wù)部門文檔整理、歸類、保管;
Documentation, classification and custody of the financial department ;
12.上級交代的其他工作
Other tasks assigned by the superior.
任職要求:
1.具有良好的職業(yè)道德,原則性強(qiáng),工作細(xì)心,有責(zé)任心、抗壓能力強(qiáng);
With good professional ethics, strong principle, careful work, responsibility and strong ability to resist pressure ;
2.全日制會計(jì)專業(yè)大專以上學(xué)歷
Full-time accounting professional college degree or above ;
3.有非標(biāo)自動化企業(yè),高新企業(yè)工作經(jīng)驗(yàn)者優(yōu)先;
There are non - standard automation enterprises, high - tech enterprise working experience is preferred ;
4.3年以上制造型企業(yè)基層會計(jì)核算崗位工作經(jīng)驗(yàn);
More than 3 years’ experience in basic accounting posts in manufacturing enterprises ;
5.熟練使用金蝶專業(yè)版財(cái)務(wù)軟件;
Skillful use of Kingdee professional version of financial software ;
6.熟練操作EXCEL,會簡單編寫函數(shù);
Skillfully manipulate EXCEL and simply write functions ;
7.英文讀寫熟練.
masterly reading and writing in English.
一、崗位職責(zé)(主辦會計(jì)):
1、能夠獨(dú)立完成所有會計(jì)憑證編制與全盤帳務(wù)處理能力,根據(jù)要求上報(bào)相關(guān)財(cái)務(wù)報(bào)告及報(bào)表;
2、審核記賬憑證及公司各項(xiàng)收支,成本核算,清理往來賬戶,定期對應(yīng)收應(yīng)付賬款進(jìn)行分析,協(xié)助加強(qiáng)應(yīng)收應(yīng)付賬款的管理;
3、負(fù)責(zé)公司項(xiàng)目成本的核算與控制工作,及時分析與預(yù)警;
4、負(fù)責(zé)財(cái)務(wù)管理報(bào)表的編制與分析,滿足財(cái)務(wù)管理需求;
5、結(jié)合預(yù)算管理要求對公司日常費(fèi)用開支進(jìn)行審核,確保費(fèi)用的合理性。
6、按時完成國、地稅稅務(wù)申報(bào),年檢,以及年度所得稅匯算清繳等工作;
7、能獨(dú)立處理公司基本信息變更等工商事務(wù);
8、主動收集財(cái)會及稅務(wù)訊息,向領(lǐng)導(dǎo)提供及時、可靠的財(cái)務(wù)資訊和有關(guān)工作建議。
9、及時做好會計(jì)憑證、賬冊、報(bào)表等財(cái)會資料的收集、匯編、歸檔等會計(jì)檔案管理工作。
10、完成上級交付的其他會計(jì)工作
二、任職要求:
1、大專以上學(xué)歷,會計(jì)相關(guān)專業(yè),5年以上會計(jì)工作經(jīng)驗(yàn),3年以上主辦會計(jì)工作經(jīng)驗(yàn),有中級會計(jì)職稱優(yōu)先;
2、有弱電安裝企業(yè)會計(jì)核算崗位經(jīng)驗(yàn)優(yōu)先,有項(xiàng)目成本核算、稅務(wù)申報(bào)、全盤賬務(wù)處理經(jīng)驗(yàn);
3、熟練操作財(cái)務(wù)及日常辦公軟件,能熟練使用ERP系統(tǒng)。
4、熟悉國家法律、法規(guī)、方針政策,熟悉稅法、經(jīng)濟(jì)法方面的知識;
5、誠實(shí)守信,品德良好,較強(qiáng)的學(xué)習(xí)力和感恩心,為人正直、原則性強(qiáng),具備良好職業(yè)道德與操守,較強(qiáng)的溝通能力。
崗位職責(zé):
1、負(fù)責(zé)客戶收款確認(rèn),客戶往來核對;
2、負(fù)責(zé)銷售發(fā)票開具,日常費(fèi)用報(bào)銷單據(jù)的審核;
3、制作、管理會計(jì)憑證,進(jìn)行帳務(wù)處理;
4、領(lǐng)導(dǎo)安排的其他工作。
任職要求:
1、財(cái)務(wù)或會計(jì)相關(guān)專業(yè)畢業(yè),大專以上學(xué)歷;
2、熟練操作電腦及財(cái)務(wù)軟件;
3、具有一定的財(cái)務(wù)會計(jì)專業(yè)的基礎(chǔ)理論和基本知識;
4、 具有 1-2 年以上應(yīng)收會計(jì)核算崗位的工作經(jīng)驗(yàn);
5、 熟悉收款工作程序、 收入核算程序與管理制度, 對于收入審核中發(fā)現(xiàn)的問題能夠分析發(fā)生的原因并提出解決辦法;
6、堅(jiān)持原則,廉潔奉公,忠于職守。