Update：2018-01-06 09:20:14 Hits：2426
1, responsible for the management and verification of daily income and expenditure;
2. Check the basic accounts of the office;
3. It is responsible for collecting and examining the original vouchers to ensure the validity and accuracy of the procedures of reimbursement and the original documents.
4, it is responsible for the registration of cash and bank accounts and the accurate entry of the system, and on time to prepare the balance sheet of bank deposits.
5, responsible for the numbering and binding of account vouchers, and keeping and filing financial related information.
6, responsible for the issuance of various instruments;
7, in coordination with the general office, the office is responsible for the statistical summary of the office's financial management.
1 active and active.
2 active and cheerful and team spirit
3. Familiar with office software such as financial software, Excel, Word and so on.
4, accounting for writing clear, accurate, timely, the monthly statements of accounts, accurate and timely;