- Hong Kong Hong Kong
工作地点
职位描述
岗位职责
BUCG-CCCL Joint Venture
Responsibilities:
Handle the full set of accounting for a Hong Kong entity, including month-end and year-end closing, and prepare management accounts and statutory financial statements in compliance with HKAS and the Companies Ordinance (Cap 622);
Follow up on project revenue recognition, contract billing, variation orders, subcontractor reconciliation, and project cost accumulation; conduct project profit and loss analysis and budget variance analysis;
Manage accounts payable and accounts receivable: review payments to subcontractors and suppliers, reconcile construction progress billings with customers, and follow up on invoicing;
Handle Hong Kong profits tax filing and liaise with external auditors for the annual statutory audit;
Perform bank reconciliation, cash ledger maintenance, and inter-company reconciliation; support the mainland group finance team with consolidation information;
Handle project documents and financial records;
Perform other ad-hoc finance tasks assigned by the supervisor.
Requirements:
Bachelor’s degree in Accounting / Finance or related discipline;
Must have hands-on accounting experience in Hong Kong construction / contracting industry, familiar with project contract accounting.
HKICPA, ACCA or CPA Australia qualification is acceptable.
Good knowledge of Hong Kong tax and statutory compliance, understand accounting treatment for subcontracting, variation orders and progress billing.
Fluent in Cantonese and Mandarin, good written English. Advanced MS Excel skills; experience in UFIDA accounting software is preferred.
Able to perform full set of accounts independently, manage multiple projects in parallel, meticulous and detail-oriented.
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