





Daily Accounting: Assist in completing the company's daily accounting tasks to ensure timeliness and accuracy of financial information Document Review and Reimbursement: Responsible for reviewing reimbursement documents and conducting supervision and audit of daily expenses across departments Fund and Banking Operations: Responsible for reviewing and managing the opening, usage, and closure of company bank accounts. Responsible for online banking payment operations. Responsible for cash receipt and disbursement, and preparing monthly cash count reports Tax Support: Assist in accrual, payment, and filing of taxes. Document Management: Responsible for organizing, storing, and archiving bank documents, expense vouchers, and accounting records. Project Support: Assist the project department with bank guarantee and related tasks. Department Collaboration: Complete other ad hoc tasks assigned by department leadership


