Emily Jia

Marketing Manager at Forte Sydney Property Group
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Contact Information
us****@****om
(386) 825-5501
Location
Thornleigh, New South Wales, Australia, AU
Languages
  • English Native or bilingual proficiency
  • Cantonese Native or bilingual proficiency
  • Mandarin Native or bilingual proficiency

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Credentials

  • Certificate of Registration
    -

Experience

    • Australia
    • Construction
    • 1 - 100 Employee
    • Marketing Manager
      • Jul 2018 - Present

    • Australia
    • Real Estate
    • 1 - 100 Employee
    • Marketing Manager
      • Nov 2016 - Jun 2018

    • Office Manager/Sales Administrator
      • Nov 2014 - Nov 2016

    • Office Manager/Property Manager
      • Sep 2013 - Nov 2014

      Mixed experience across AP/AR, payroll, property management, purchasing, executive assistant at Director level Marketing & campaign assistant Property Management Periodic Drawdown Book keeping Monthly EOM duties/reports Mixed experience across AP/AR, payroll, property management, purchasing, executive assistant at Director level Marketing & campaign assistant Property Management Periodic Drawdown Book keeping Monthly EOM duties/reports

    • Transportation, Logistics, Supply Chain and Storage
    • 700 & Above Employee
    • Logistics Accountant
      • Jul 2011 - Sep 2013

      Customer billing Periodical accounting Weekly and monthly reporting and analyzing Project and out of scope financial management Logistics operational assistance Customer billing Periodical accounting Weekly and monthly reporting and analyzing Project and out of scope financial management Logistics operational assistance

    • Assistant Accountant
      • Jun 2007 - Dec 2009

      Daily bank transactions, bank reconciliations, cash management Fixed Assets reconciliation and depreciation Corporate Accounts Payable/ Accounts Receivable Inter-company reconciliations between hotels and corporate office general ledger Reconciliation of general ledger accounts and assisting in month end processes, including journals, accruals, P&L and Balance Sheet reconciliations Daily bank transactions, bank reconciliations, cash management Fixed Assets reconciliation and depreciation Corporate Accounts Payable/ Accounts Receivable Inter-company reconciliations between hotels and corporate office general ledger Reconciliation of general ledger accounts and assisting in month end processes, including journals, accruals, P&L and Balance Sheet reconciliations

    • Transportation, Logistics, Supply Chain and Storage
    • 100 - 200 Employee
    • Inter-company Payable and Receivable Officer
      • Jan 2004 - Jan 2006

      Reconciliation of creditor and debtors statements, credit card reconciliations Posting of accounts payable invoices and payments into the general ledger Reconcile and Process staff reimbursements, co-ordination of cheque signatories, journal processing Interstate and overseas travel arrangements included accommodation and airfare, reconciliation of monthly travel statements Assist with GST and FBT compliance Reconciliation of creditor and debtors statements, credit card reconciliations Posting of accounts payable invoices and payments into the general ledger Reconcile and Process staff reimbursements, co-ordination of cheque signatories, journal processing Interstate and overseas travel arrangements included accommodation and airfare, reconciliation of monthly travel statements Assist with GST and FBT compliance

Education

  • University of Technology, Sydney
    Bachelor of Business, Marketing and Accounting
    2002 - 2006
  • Mackellar Girls High School
    High school certificate
    -

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