Jackie Chen
Finance Manager at Neat- Claim this Profile
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English Full professional proficiency
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Cantonese Native or bilingual proficiency
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Mandarin Native or bilingual proficiency
Topline Score
Bio
Credentials
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Private Pilot License
Federal Aviation AdministrationMay, 2014- Nov, 2024 -
Student Member
ACCA
Experience
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Neat, A Rapyd company
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Hong Kong
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IT Services and IT Consulting
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1 - 100 Employee
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Finance Manager
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Sep 2021 - Present
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Senior Accountant
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Sep 2020 - Aug 2021
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Klook
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Hong Kong
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Travel Arrangements
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700 & Above Employee
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Accountant
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Sep 2016 - Sep 2020
• Handled full set for HK entities• Generated monthly consolidated financial reports with analysis for the group• Liaised with external auditors for annual group audit and FDD for rounds of funding• Supervised AP process and processed monthly payroll in different regions• Assisted in setting up payment approval procedures for different business units• Managed cash flow between different countries, maximizing interest income while minimizing FX exposure• Handled bank opening procedures for different entities and monitored corporate credit cards' usage• Involved in ERP implementation (from Quickbooks to Oracle Netsuite) and being a system administrator for ERP and Citi/HSBC/JPM online banking
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Luminous MSL
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Hong Kong
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Events Services
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1 - 100 Employee
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Accounting Officer
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Jul 2015 - Sep 2016
• Handled all financial activities of Hong Kong office• Assisted budget forecast report and monthly reports• Worked closely with production team to maintain a high-efficient workflow • Communicated with back offices in China and Malaysia for AP, AR, & GL posting • Handled all financial activities of Hong Kong office• Assisted budget forecast report and monthly reports• Worked closely with production team to maintain a high-efficient workflow • Communicated with back offices in China and Malaysia for AP, AR, & GL posting
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Accountant
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Sep 2013 - Apr 2015
• Handled full set of accounts in QuickBooks• Processed payments to vendors and cash collections from customers• Communicated with customers and managed sales orders • Generated client billing report and monthly reports • Handled full set of accounts in QuickBooks• Processed payments to vendors and cash collections from customers• Communicated with customers and managed sales orders • Generated client billing report and monthly reports
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Stephen Wan Accountancy Corp.
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Accounting
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Accounting Intern
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Apr 2013 - Jul 2013
• Assisted the tax preparation and filing, including fixed asset and inventory• Bookkeeping with Peachtree and monthly bank reconciliation • Assisted the tax preparation and filing, including fixed asset and inventory• Bookkeeping with Peachtree and monthly bank reconciliation
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Eaton Hall Architecture
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United States
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Architecture and Planning
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1 - 100 Employee
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Accounting Intern
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Aug 2012 - Mar 2013
• Entered data into QuickBooks and Archioffice• Provided assistance with accounts payable, accounts receivable, and bank statement reconciliation • Entered data into QuickBooks and Archioffice• Provided assistance with accounts payable, accounts receivable, and bank statement reconciliation
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Business Intern
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Jan 2011 - Jan 2012
• Processed daily business transaction and shipping• Handled and processed office documents and helped the manager on billing • Processed daily business transaction and shipping• Handled and processed office documents and helped the manager on billing
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Education
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San Jose State University
Bachelor of Business Administration (B.B.A.), Accounting -
De Anza College
Accounting