Responsibilities
- Reporting to CEO & Chairman
- Responsible for the financial aspects of the company’s business and strategy, including accounting management, financial planning, financial procedures, internal audit, property, cost control and investment research and analysis
- Fully responsible for the Risk Management and internal control, complete the annual financial budget according to the company’s business development plan and follow up its implementation
- Develop, manage and implement the company’s economic and financial standards and procedures to meet the risk control requirements
- Participate in the analysis of the company’s major investment issues, and provide financial analysis and decision-making basis for the company’s development and outbound investment
- Establishing and developing relations with senior management and external partners and stakeholders
- Monthly Finance Report and analysis
- Responsible for annual report, Logistics Management
- Actively coordinate with Banks
Job Requirements
- Bachelor degree in Accounting or Finance, or Finance & Economics
- CPA or CA is highly desirable.
- At least 5 years’ experience in the financial related industry
- Prior working experience in audit will be advantageous.
- Prior experience dealing with auditors and tax agents.
- Good team leader and possess good analytical, communication and interpersonal skills.
- Independent and exercise sound judgement.