Discover Great Companies Discover Great Clients
Companies Salaries Jobs
Jobs |
Jobs Companies Salary Majors

Company Overview

About the Company

1.负责公司日常的费用报销。
2.负责日常现金、支票的收与支出,信用卡的核对,及时登记现金及银行存款日记账;
3.每日核对、保管收银员交纳的营业收入。
4.每日盘点库存现金,做到日清月结,账实相符。库存现金不得超过公司规定数额。
5.负责向银行换取备用的收银零钱,以备收银员换零。
6.信用卡的对账及定期核对银行账目,编制银行存款余额调节表。
7.月末与会计核对现金/银行存款日记账的发生额与余额。
8.每周编制《货币资金周报表》,并上报营运总监、财务总监、财务主管等。
9.每月编制《现金流量表》,并上报营运总监、财务总监、财务主管。
10.每月配合人事编制好工资表,并协助发放。

Expand
Information is aggregated from the web and may not be exact. For reference only.
Information incorrect? Claim this company to edit

Related Industry Tags

Tags are auto-annotated by keyword text matching and may be correlated. For reference only.

Company / Job Addresses

Business Registration

Provided by

Operating Status: 注销
Legal Representative: 张洪伟
Date Established:
Credit Code: 91371122706303484F
Registered Address: 山东省日照市莒县城阳街道日照西路40号

Talent Demand Trend Analysis More

Report

*Reason:

Radical political or ideological topics
Advertising or spam
Pornographic or vulgar content
Obscene language or personal attacks
Other

Congratulations, submitted successfully!

Your edit is under review. You will be notified by email within 1 business day.

Submission failed.

Followed successfully. We'll notify you of any company updates.

Help others learn about this company, add my impression of this company»

Log in with the following accounts to save your follows

Followed successfully, we'll notify you of any company updates

职业培训
客服
由百度提供