出纳/Cashier/ Treasury Specialist

互联网物流企业

Headhunting
 
Company Name
互联网物流企业


Job Title

出纳/Casher/ Treasury Specialist



Company Introduction 
服务国内某大型互联网物流企业。公司成立于2013年,是一家客户价值驱动的全球化产业互联网公司。公司深深扎根在物流产业,把物流产业的运营、场景、设施和互联网技术做深度融合,坚持数智创新、开拓增量、普惠服务和开放共赢。致力于搭建领先的全球化物流网络。
Serving a large domestic Internet logistics company. Founded in 2013, the company is a customer value-driven global industrial Internet company. The company is deeply rooted in the logistics industry, deeply integrating the operations, scenarios, facilities, and Internet technologies of the logistics industry, insisting on digital intelligence innovation, incremental development, inclusive services, and open win-win. We are committed to building a leading global logistics network.


Job Responsibilities

1、审核的单据并根据已审核单据进行现金、银行付款,月末进行资金核算;

2,编制现金、银行日记账,对每天发生的收支业务及时记账,核对,做到日清月结,保证账实相符;
2、按财务制度要求,对员工报销单据进行收集和审核;
3、定期办理银行对账,归整回单以及对账单等财务资料;
5、保管及签发支票及各种票据,设立明细进行登记;
6、负责银行账户管理,如开户,销户,信息变更,银行询证等工作;
7、其他临时性资金支持工作。


Job Requirements 

1、本科或以上学历金融财会相关专业;

2、不限工作年限,具有出纳、资金管理工作经验者优先,优秀应届毕业生可适当降低要求;
3,适应快节奏的工作环境,细心,能够在紧迫的期限内完成任务;
4,思维清晰,有较强的执行力和沟通能力; 具有良好的职业道德,责任心强,有团队合作精神、熟悉日常财务工作流程;
5,中文普通话者优先,精通英语/西班牙/法语者优先。


Working Location
Amsterdam


Employment Type
Full-time


Working Visa
Yes

Maximum size 10MB

Maximum size 10MB

We will keep your CV and contact information in our Talent Pool. We will contact you if there is suitable position for you.

Please wait...
Headhunting
 
Company Name
互联网物流企业


Job Title

出纳/Casher/ Treasury Specialist



Company Introduction 
服务国内某大型互联网物流企业。公司成立于2013年,是一家客户价值驱动的全球化产业互联网公司。公司深深扎根在物流产业,把物流产业的运营、场景、设施和互联网技术做深度融合,坚持数智创新、开拓增量、普惠服务和开放共赢。致力于搭建领先的全球化物流网络。
Serving a large domestic Internet logistics company. Founded in 2013, the company is a customer value-driven global industrial Internet company. The company is deeply rooted in the logistics industry, deeply integrating the operations, scenarios, facilities, and Internet technologies of the logistics industry, insisting on digital intelligence innovation, incremental development, inclusive services, and open win-win. We are committed to building a leading global logistics network.


Job Responsibilities

1、审核的单据并根据已审核单据进行现金、银行付款,月末进行资金核算;

2,编制现金、银行日记账,对每天发生的收支业务及时记账,核对,做到日清月结,保证账实相符;
2、按财务制度要求,对员工报销单据进行收集和审核;
3、定期办理银行对账,归整回单以及对账单等财务资料;
5、保管及签发支票及各种票据,设立明细进行登记;
6、负责银行账户管理,如开户,销户,信息变更,银行询证等工作;
7、其他临时性资金支持工作。


Job Requirements 

1、本科或以上学历金融财会相关专业;

2、不限工作年限,具有出纳、资金管理工作经验者优先,优秀应届毕业生可适当降低要求;
3,适应快节奏的工作环境,细心,能够在紧迫的期限内完成任务;
4,思维清晰,有较强的执行力和沟通能力; 具有良好的职业道德,责任心强,有团队合作精神、熟悉日常财务工作流程;
5,中文普通话者优先,精通英语/西班牙/法语者优先。


Working Location
Amsterdam


Employment Type
Full-time


Working Visa
Yes

Maximum size 10MB

Maximum size 10MB

We will keep your CV and contact information in our Talent Pool. We will contact you if there is suitable position for you.

Please wait...