Assist in the preparation of financial reports and analysis, ensuring accuracy and adherence to accounting standards.
Translate financial documents and communications between English and Mandarin to facilitate effective communication within the team and with Mandarin-speaking clients or partners.
Support the finance team in daily operations, including processing invoices, managing accounts payable and receivable, and reconciling bank statements.
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Assist in the preparation of financial reports and analysis, ensuring accuracy and adherence to accounting standards.
Translate financial documents and communications between English and Mandarin to facilitate effective communication within the team and with Mandarin-speaking clients or partners.
Support the finance team in daily operations, including processing invoices, managing accounts payable and receivable, and reconciling bank statements.
...
Assist in the preparation of financial reports and analysis, ensuring accuracy and adherence to accounting standards.
Translate financial documents and communications between English and Mandarin to facilitate effective communication within the team and with Mandarin-speaking clients or partners.
Support the finance team in daily operations, including processing invoices, managing accounts payable and receivable, and reconciling bank statements.
...
Assist in the preparation of financial reports and analysis, ensuring accuracy and adherence to accounting standards.
Translate financial documents and communications between English and Mandarin to facilitate effective communication within the team and with Mandarin-speaking clients or partners.
Support the finance team in daily operations, including processing invoices, managing accounts payable and receivable, and reconciling bank statements.
...
Assist in the preparation of financial reports and analysis, ensuring accuracy and adherence to accounting standards.
Translate financial documents and communications between English and Mandarin to facilitate effective communication within the team and with Mandarin-speaking clients or partners.
Support the finance team in daily operations, including processing invoices, managing accounts payable and receivable, and reconciling bank statements.
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Assist in implementing search engine optimization (SEO) strategies to improve website visibility.
Support video marketing efforts by creating, editing, and optimising creative video content. (Brand and IP Creation)
Contribute to content creation (feed, post, reels) for various marketing campaigns and social media platforms for brand influencer & sales performance.
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Assist in the preparation of financial reports and analysis, ensuring accuracy and adherence to accounting standards.
Translate financial documents and communications between English and Mandarin to facilitate effective communication within the team and with Mandarin-speaking clients or partners.
Support the finance team in daily operations, including processing invoices, managing accounts payable and receivable, and reconciling bank statements.
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Handle customer enquiries, requests, and feedback from various channels including retail outlets, online platforms, email, and phone calls, providing timely and effective solutions.
Explain product information to customers and guide them on proper product usage.
Maintain strong customer relationships to enhance customer satisfaction, loyalty, and member engagement.
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customer engagement
or membership management are preferred.
and after-sales service is preferred.
Able to communicate and write in basic English and Chinese.
Possess strong problem-solving skills with a customer-focused mindset and empathy.
Provide comprehensive administrative support to management and staff, including managing correspondence, preparing documents, and maintaining organized filing systems.
Coordinate and schedule meetings, appointments, and travel arrangements for executives and teams, ensuring efficient use of time and resources.
Manage office operations, including ordering supplies, maintaining office equipment, and ensuring a tidy and functional workspace.
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Able to handle full set of accounts (account payable and account receivable) and all financial reporting activities.
To monitor full sets accounting for all branch from bookkeeping accounting entries to fully sets accountings including Trial Balance, Income Statements, Balance Sheets, GL, Inventory Control, Reconciliations, and monthly reporting and checking.
Debtor and creditor management including reviewing aging and reconciliation record.
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Able to handle full set of accounts (account payable and account receivable) and all financial reporting activities.
To monitor full sets accounting for all branch from bookkeeping accounting entries to fully sets accountings including Trial Balance, Income Statements, Balance Sheets, GL, Inventory Control, Reconciliations, and monthly reporting and checking.
Debtor and creditor management including reviewing aging and reconciliation record.
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Able to handle full set of accounts (account payable and account receivable) and all financial reporting activities.
To monitor full sets accounting for all branch from bookkeeping accounting entries to fully sets accountings including Trial Balance, Income Statements, Balance Sheets, GL, Inventory Control, Reconciliations, and monthly reporting and checking.
Debtor and creditor management including reviewing aging and reconciliation record.
...
Able to handle full set of accounts (account payable and account receivable) and all financial reporting activities.
To monitor full sets accounting for all branch from bookkeeping accounting entries to fully sets accountings including Trial Balance, Income Statements, Balance Sheets, GL, Inventory Control, Reconciliations, and monthly reporting and checking.
Debtor and creditor management including reviewing aging and reconciliation record.
...
Able to handle full set of accounts (account payable and account receivable) and all financial reporting activities.
To monitor full sets accounting for all branch from bookkeeping accounting entries to fully sets accountings including Trial Balance, Income Statements, Balance Sheets, GL, Inventory Control, Reconciliations, and monthly reporting and checking.
Debtor and creditor management including reviewing aging and reconciliation record.
...
Able to handle full set of accounts (account payable and account receivable) and all financial reporting activities.
To monitor full sets accounting for all branch from bookkeeping accounting entries to fully sets accountings including Trial Balance, Income Statements, Balance Sheets, GL, Inventory Control, Reconciliations, and monthly reporting and checking.
Debtor and creditor management including reviewing aging and reconciliation record.
...
Able to handle full set of accounts (account payable and account receivable) and all financial reporting activities.
To monitor full sets accounting for all branch from bookkeeping accounting entries to fully sets accountings including Trial Balance, Income Statements, Balance Sheets, GL, Inventory Control, Reconciliations, and monthly reporting and checking.
Debtor and creditor management including reviewing aging and reconciliation record.
...