1. Provide useful and timely financial information for management and help them to make the right decision
2. Manage finance team and help them to improve personal ability
3. Ensure day to day finance work (treasury, expense, AP, AR, Fixed asset, G/L)
4. Responsible for expenses accrual documentation preparation, to ensure it meet the requirement of policy and audit;
5. Lead monthly, quarterly and yearend closing with finance team to meet the timeline of group
6. Coordinate monthly, quarterly and year-end reporting including financial statements, balance sheet, cash flow reports, other analysis reports and group reports ba
7. Ensure adherence of all accounting standards/ practices and compliance of corporate policies as well as statutory requirements
8. Ensure the co-ordination of the annual Deloitte audit, SAFE audit and interface with outside auditors
9. Supervise treasury management and communication with related banks about working capital loan under site controller’s leading
10. Implement internal control procedure in financial process
11. Monitor SAFE data, keep it in reasonable range
12. Communicate with site controller and colleagues well, advise and support business
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