• 5-day work week
• Convenient Working Location
• Good Company Benefits
Responsibilities:
• Ensure the Group’s cash receipts are accounted properly and timely
• Process cash and bank collections control reports and follow up on discrepancies
• Check petty cash request form to ensure compliance with policy
• Prepare cash flow forecast of subsidiaries
• Arrange inter-company fund transfer
• As a custodian of various festival food coupons, membership card, cash coupon and cheque books
• The owner of the petty/operating cash flow in conducting an inventory of the surplus cash and performing internal control tasks
• Process foreign currency exchange received from the front desk of hotel
• Handle ad-hoc assignments
Requirements:
• Degree or Higher Diploma in Accounting or related discipline
• 1-3 years related working experiences in Accounting, Finance or Treasury
• Proficiency in MS Excel
• Responsible, detail-minded and take initiatives
• Fresh Graduates can be considered
Attractive remuneration would be offered to the right candidate.
Please send your application and expected salary to Human Resources Department.
Miramar Group is an Equal Opportunity Employer. All information provided will be used for recruitment and other employment-related purposes only. It may be transferred to authorized departments within the Group for further processing. All personal data collected during the application process will be kept for 6 months after its completion, and then destroyed.
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