职位描述:
GENERAL STATEMENT OF RESPOIBILITIES:
?Preparation of daily and weekly sales report;
?Preparation of monthly and rolling forecasts;
?Preparation of annual budget, upload budget to onestream;
?Close to other supporting function, supply chain, marketing and sales in terms of expee control;
?Variance analysis on the business performance in terms of sales, margin, SG&A, as well as working capital;
?Financial evaluation for business case simulation, market share analysis.
?Meet internal, regional, external reporting requirements in terms of timeline and format;
?Proactively support manager on various financial analysis review and identify improvement areas;
?Any other adhoc report;
JOB REQUIREMENTS:
?Diploma or BA degree in Financial & Economic.
?At least 3 yea working experiences in multinational companies related to financial planning and analysis, internal control and business partner roles.
?Strong self-motivation and have the drive to meet the expectation of both timing and acuracy;
?Conceptual, analytical thinking and creative in problem solving;
?Open-minded and be able to work in team;
?Strong initiative and confident to handle complexity, work under pressure and manage short lead-time deliveries;
?Excellent English and Chinese both in written and oral.