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会计核算岗位岗位职责

会计核算岗位是做什么的?通常用人企业对这个职位的要求是什么?本站小编为您整理关于会计核算岗位的岗位职责与要求,包括详细的会计核算岗位职位描述,各位求职的时候可以清楚会计核算岗位的工作内容及任职要求,这样对提高求职效率有很大帮助。


会计核算岗位岗位职责

1.执行国家的货币政策和公司财务规章制度,及时更新现金收支表,做到日清日结;

Financial rules of monetary policy and the implementation of the national , update the cash list, everyday closed;

2.严格遵守现金管理制度,库存现金不得超过定额。不坐支,更不能私自挪用现金,未经领导批准的借条和白条纸单据,不得报销。

In strict compliance with the cash management system, the cash in stock must not exceed the quota. Don't zuozhi, not embezzled cash, without the approval of the leadership of the IOU and white paper documents, shall not be reimbursed ;

3.负责办理经费领拨、支付、员工差旅预支登记,还款核销;

Responsible for the allocation of funds, payment, staff travel advance registration, payment and cancellation;

4.认真审查各种报销或支出的原始凭证,保证票据的真实、合法、合理、有效,严格按照公司财务规章制度,根据规范的原始凭证,编制费用报销表;

We must seriously examine all kinds of original vouchers for reimbursement or expenditure, and ensure the authenticity, legality, rationality and effectiveness of the bills. In strict accordance with the company's financial rules and regulations, we prepare the expense reimbursement list according to the standard original vouchers;

5.严格执行安全制度。认真管好现金、空白支票、空白收据及其他证券。

Strictly enforce the security system. Careful management of cash, blank checks, blank receipts and other securities.

6.贯彻执行银行结算制度,严格办理境内外收、付款等结算业务,并及时在外汇管理局资金系统中申报,同步更新外汇管理台账。

We must carry out the bank settlement system, strictly handle the settlement business such as collecting and payment at home and abroad, and timely declare it in the foreign exchange administration's capital system, and synchronously update the foreign exchange management account;

7.加强银行支票管理,负责支票签发,银行余额调节表的编制;

Strengthening bank check management, issuing check and preparing bank balance adjustment table;

8.做好发票的购买、领用、开具、验收、保管工作;

Responsible for the allocation of funds, payment, staff travel advance registration, payment and cancellation of the invoice for the purchase, use, opening, acceptance and custody of the invoice ;

9.增值税专用发票的及时审核比对;

Comparison of the timely audit of VAT special invoices ;

10.根据审核无误的原始凭证及时编制记账凭证;

Timely compilation of billing vouchers according to unmistakable original vouchers ;

11.财务部门文档整理、归类、保管;

Documentation, classification and custody of the financial department ;

12.上级交代的其他工作

Other tasks assigned by the superior.

任职要求:

1.具有良好的职业道德,原则性强,工作细心,有责任心、抗压能力强;

With good professional ethics, strong principle, careful work, responsibility and strong ability to resist pressure ;

2.全日制会计专业大专以上学历

Full-time accounting professional college degree or above ;

3.有非标自动化企业,高新企业工作经验者优先;

There are non - standard automation enterprises, high - tech enterprise working experience is preferred ;

4.3年以上制造型企业基层会计核算岗位工作经验;

More than 3 years' experience in basic accounting posts in manufacturing enterprises ;

5.熟练使用金蝶专业版财务软件;

Skillful use of Kingdee professional version of financial software ;

6.熟练操作EXCEL,会简单编写函数;

Skillfully manipulate EXCEL and simply write functions ;

7.英文读写熟练.

masterly reading and writing in English.


一、岗位职责(主办会计):

1、能够独立完成所有会计凭证编制与全盘帐务处理能力,根据要求上报相关财务报告及报表;

2、审核记账凭证及公司各项收支,成本核算,清理往来账户,定期对应收应付账款进行分析,协助加强应收应付账款的管理;

3、负责公司项目成本的核算与控制工作,及时分析与预警;

4、负责财务管理报表的编制与分析,满足财务管理需求;

5、结合预算管理要求对公司日常费用开支进行审核,确保费用的合理性。

6、按时完成国、地税税务申报,年检,以及年度所得税汇算清缴等工作;

7、能独立处理公司基本信息变更等工商事务;

8、主动收集财会及税务讯息,向领导提供及时、可靠的财务资讯和有关工作建议。

9、及时做好会计凭证、账册、报表等财会资料的收集、汇编、归档等会计档案管理工作。

10、完成上级交付的其他会计工作

二、任职要求:

1、大专以上学历,会计相关专业,5年以上会计工作经验,3年以上主办会计工作经验,有中级会计职称优先;

2、有弱电安装企业会计核算岗位经验优先,有项目成本核算、税务申报、全盘账务处理经验;

3、熟练操作财务及日常办公软件,能熟练使用ERP系统。

4、熟悉国家法律、法规、方针政策,熟悉税法、经济法方面的知识;

5、诚实守信,品德良好,较强的学习力和感恩心,为人正直、原则性强,具备良好职业道德与操守,较强的沟通能力。

岗位职责:

1、负责客户收款确认,客户往来核对;

2、负责销售发票开具,日常费用报销单据的审核;

3、制作、管理会计凭证,进行帐务处理;

4、领导安排的其他工作。


任职要求:

1、财务或会计相关专业毕业,大专以上学历;

2、熟练操作电脑及财务软件;

3、具有一定的财务会计专业的基础理论和基本知识;

4、 具有 1-2 年以上应收会计核算岗位的工作经验;

5、 熟悉收款工作程序、 收入核算程序与管理制度, 对于收入审核中发现的问题能够分析发生的原因并提出解决办法;

6、坚持原则,廉洁奉公,忠于职守。