Brief Description:
- · Run payment list for domestic and foreign vendors.
- · Arrange payment for RMB and foreign currency to suppliers.
- · Cash management.
- · Daily E-banking operation Payment verification and authorization.
- · Cash and Bank reconciliation.
- · AR collection and credit control.
- · Bank accounts management.
- · Corporate credit management.
- · Manage whole fixed assets process from tagging, input to depreciation and disposal.
- · Run monthly fixed assets report to check for any deviation in both China and US book.
- · Physical fixed assets count according to company policy.
- · Monthly filing & documentation.
Responsibilities:
- College or university graduate, major in financing, accounting, tax or equivalent.
- Experience of foreign currency management and bank operation process.
- Strong computer skills especially Excel, Email, and word.
- Good communication and interpersonal skills.
- Assets management concept and capability.
- Good spoken and written English.
- Detail oriented.
- Strong ability to learn and high potential to grow.
- Work location is Shanghai.
Qualifications Required:
Qualifications Desired:
We will build a capable, innovative, diverse, customer-oriented team with the best talent in our industry.
Join us with your application to recruiting@aviagesystems.com
Join us with your application to recruiting@aviagesystems.com

