Main Responsibilities:
- Lead the annual budget
and plan process;
- Implement cash management policies, which focus on supplier terms, cash
collection, and overdue management;
- Take understanding of treasury and contract management issues.
Control the
financial operations of the company;
- Under the Corporate direction, manage the development and approval of
business plans, annual budget, operating forecasts, reports and measurements;
- Establish budgeting and forecasting processes, and management reporting
systems;
- Counsel in business areas that affect business performance, which include
pricing, investment decisions & performance measurements;
- Act as financial advisor to functional and operational peers;
- Ensure compliance with generally accepted accounting principles, corporate
finance policies and procedures, balance sheet reviews, and internal controls
processes;
- Ensure compliance to local statutory filing and reporting requirements;
- Work with Corporate Credit & Collection to set up and enforces stringent
credit control;
- Responsible for tax planning and compliance;
- Executes corporate treasury directions and liaises with bankers and other
financing institutions.
Qualification & Experience:
- CFO or China Controller
for the last 3-4 years, at least 13-14 years+ working experience with profound
MNC;
- Mastery in all finance functions, esp. SAP, finance reporting (GAAP, IFRS),
tax, SOX;
- Production company experienced is highly preferred;
- High integrity;
- Strategic thinking, global mindset;
- Excellent English skills. |