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Reconciliation jobs in new territories Hong Kong

27 reconciliation jobs found in new territories: showing 21 - 27

Accounting Officer/ Clerk (site Leasing)
Company: Hutchison Telecommunications |

Location: Tsing Yi, Hong Kong

| Salary: unspecified | Date posted: 24 Apr 2024
and reconciliation of cell site various expenses Monitor leasing system maintenance of designated cell sites to ensure system update...
Accounting Manager/ Senior Accounting Clerk
Company: Wellwin Enterprises Limited |

Location: Sha Tin District, Hong Kong

| Salary: unspecified | Date posted: 22 Apr 2024
end closing, including prepare general vouchers, bank reconciliation Prepare monthly accounting reports and schedules...
Accounting Supervisor/ Accounting Assistant
Company: Up-Grade Development Limited |

Location: Sha Tin District, Hong Kong

| Salary: unspecified | Date posted: 22 Apr 2024
end closing, including prepare general vouchers, bank reconciliation Prepare monthly accounting reports and schedules...
Accounting Assistant Ii (part-time / Hourly)
Company: H.K.S.K.H. LADY MACLEHOSE CENTRE 香港聖公會麥理浩夫人中心 |

Location: Kwai Chung, Hong Kong

| Salary: unspecified | Date posted: 20 Apr 2024
, vouchers preparation, etc. Prepare monthly / year-end closing and bank reconciliation Provide administrative support...
Accounting Assistant Ii
Company: H.K.S.K.H. LADY MACLEHOSE CENTRE 香港聖公會麥理浩夫人中心 |

Location: Kwai Chung, Hong Kong

| Salary: unspecified | Date posted: 20 Apr 2024
, vouchers preparation, etc. Prepare monthly / year-end closing and bank reconciliation Provide administrative support...
Accounting Assistant I
Company: H.K.S.K.H. LADY MACLEHOSE CENTRE 香港聖公會麥理浩夫人中心 |

Location: Kwai Chung, Hong Kong

| Salary: unspecified | Date posted: 20 Apr 2024
reconciliation Supervise the works of subordinate(s) Assist in ad hoc analysis Requirements HKDSE with LCCI Level 3...
Accounting Assistant
Company: Hong Kong Sports Institute |

Location: Sha Tin, Hong Kong

| Salary: unspecified | Date posted: 30 Mar 2024
collection, cash count and reconciliation of the daily collection; To handle petty cash disbursement, replenishment and journal...