Finance Controller_HC
工作模式
在工地的
工作领域
管理会计、财务会计和信用控制
加入为
专业人员
合同类型
有限期
工作时间
全日制
赔偿
根据协议
你的任务
Position Summary:
Responsible for the financial management of the BU, including annual budgeting, month-end closing and daily financial controlling, BU financial reporting and tax compliance, ensuring accuracy, timeliness, and reliability of financial data to support BU business decisions.
Key Responsibilities
- BU finance reporting:
- Handle SAP-based sales invoicing, posting, and processing all types of invoices, including credit/debit notes.
- Perform month-end closing and reconciliation; verify alignment between SAP billing and GR data to ensure consistency.
- Invoicing for domestic and export VAT, and handling export tax refunds related activities.
- Provide specialized sales statistics and management reports.
- Forecasting, budgeting and analysis:
- Assist in financial strategies.
- Responsible for the annual BU financial budget, capex investment budget, track monthly forecasts, and provide analysis to support decision-making.
- Capex investment tracking including planning, justification, and post-investment review.
- Cross-departmental collaborate:
- Provide financial support on global strategic project.
- Support sales quotation, sales model improvements.
- Ensure the engineer cost recovery, TSA/TCA process following.
- Update local engineer rate/testing rate/OH rate of prototype.
- Track and support to engineer efficiency and testing efficiency improvement.
- Support audits, and tax compliance activities.
- Ad hoc task:
- Assist BU finance controller in handling ad hoc tasks.
Position Summary:
Responsible for the financial management of the BU, including annual budgeting, month-end closing and daily financial controlling, BU financial reporting and tax compliance, ensuring accuracy, timeliness, and reliability of financial data to support BU business decisions.
Key Responsibilities
- BU finance reporting:
- Handle SAP-based sales invoicing, posting, and processing all types of invoices, including credit/debit notes.
- Perform month-end closing and reconciliation; verify alignment between SAP billing and GR data to ensure consistency.
- Invoicing for domestic and export VAT, and handling export tax refunds related activities.
- Provide specialized sales statistics and management reports.
- Forecasting, budgeting and analysis:
- Assist in financial strategies.
- Responsible for the annual BU financial budget, capex investment budget, track monthly forecasts, and provide analysis to support decision-making.
- Capex investment tracking including planning, justification, and post-investment review.
- Cross-departmental collaborate:
- Provide financial support on global strategic project.
- Support sales quotation, sales model improvements.
- Ensure the engineer cost recovery, TSA/TCA process following.
- Update local engineer rate/testing rate/OH rate of prototype.
- Track and support to engineer efficiency and testing efficiency improvement.
- Support audits, and tax compliance activities.
- Ad hoc task:
- Assist BU finance controller in handling ad hoc tasks.
您的个人资料 - Educational background: Degree or above in Finance, Accounting or related field.
- Work experience: At least 5 years of accounting experience in BU or regional finance; cross-regional or export business experience is a plus.
- Skills requirement:
- Proficient in SAP with experience
- Strong month-end close and reconciliation experience; knowledge of VAT and export tax refunds.
- Strong analytical skills, logical thinking, problem solving, and ability to coordinate across functions.
- Proficient in Excel and other office tools
- Language: Proficient in English (reading, writing, and speaking), ability to prepare reports and communicate with overseas teams.
- Soft skills:
- Excellent communication and teamwork skills
- Highly responsible
- Strong time management
- Ability to work under pressure.
- Educational background: Degree or above in Finance, Accounting or related field.
- Work experience: At least 5 years of accounting experience in BU or regional finance; cross-regional or export business experience is a plus.
- Skills requirement:
- Proficient in SAP with experience
- Strong month-end close and reconciliation experience; knowledge of VAT and export tax refunds.
- Strong analytical skills, logical thinking, problem solving, and ability to coordinate across functions.
- Proficient in Excel and other office tools
- Language: Proficient in English (reading, writing, and speaking), ability to prepare reports and communicate with overseas teams.
- Soft skills:
- Excellent communication and teamwork skills
- Highly responsible
- Strong time management
- Ability to work under pressure.