The position is based in Hong Kong Corporate Office and will work closely with all countries in Europe, America and Asia Pacific on the timely delivery of financial/ reporting packages with commentary and analysis for the Group report consolidation.
Details of responsibility includes but not limited to: * Perform financial planning and business analysis, budgetary control and operation review, such as monthly rolling forecast, intercom reconciliation * Develop financial guideline and procedure for countries to follow * Analyse the cash-flow and working capital situation of countries * Provide guidance and coaching to the team members to increase efficiencies * Assist the supervisor on management report preparation, trade credit insurance management and any ad hoc assignments
To meet the challenge of this role, you must have: * Bachelor degree in Finance or Accountancy with an internationally recognised accounting qualification * Around 7-10 years' relevant working experience * Regional exposure is a must, preferably in Europe and America * Exposure to process improvement and project management is desirable * Excellent negotiation, interpersonal skills and analytical skills * Fluent in both written and spoken English and Chinese. Mandarin is essential * Proficiency in MS Office. Knowledge in SAP would be a definite advantage