职位描述
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The Finance Manager 财务分析经理 will be based in Suzhou SIP. This position will be Responsible for coordinating/managing all activities related to month end, forecasting and budgeting of the incumbent organization in order to ensure accurate financial statements and forecasting in support of the business and in compliance with the Sarbanes Oxley Act. Responsible for developing, implementing and maintaining systems, procedures and policies in order to ensure accurate data that is in compliance with corporate and legislative requirements.
JOB SUMMARY:
? Directs preparation of budgets, reviews budget proposals and prepares necessary supporting documentation and justification.
? Generates and reports an accurate twelve-month rolling financial forecast.
? Prepares reports which summarize and forecast company business activity and financial position in areas of income, expenses and earnings based on past, present and expected operations.
? Establishes or recommends to management strategies, objectives and policies for company.
? Prepares detailed financial analysis and projections at the project and site level.
? Directs preparation of studies, reports and analyses in areas such as budgets, forecasts, financial plans, governmental requirements, statistical reports, cash flow projections and business forecasts.
? Generates Inter-company vouchers (ICV) between Flex Divisions.
? Ensures Sarbanes Oxley compliance in accordance with Flex standard policy and procedures for financial reporting.
? Supports the audit of company accounts.
? Interprets and applies financial policies, governmental legislation, accounting theory or customer financial regulations.
? Provides senior leadership team with timely reviews of organization's financial status and progress in its various programs and activities.
? Advises management on desirable operational adjustments, identifying trends and recommends improvements accordingly. Makes recommendations to management regarding cost saving or profit generating opportunities, risks and profitability improvement strategies.
? Coordinates with all levels of management to gather, analyze, summarize and prepare recommendations regarding acquisition activity and new business planning.
? Conducts special studies to analyze complex financial actions and prepares recommendations for policy, procedure, control or action.
? Researches and prepares economic reports on subjects such as rate of return, depreciation, working capital requirements, investment opportunities, investment performance and impact of governmental requirements.
? Prepares presentations including quarterly business reviews, annual budgets and long-term strategic planning initiatives.
? Establishes operational objectives and assignments.
? Provides feedback and coaching to finance team.
WHAT A TYPICAL DAY LOOKS LIKE:
? At least 8~10 years’ related Finance Analyst experience with 2~3 years GL experience.
? Bachelor’s degree in finance, Accounting, or related field or equivalent experience.
? Ability to read, analyze and interpret the technical journals, financial reports and legal documents.
? Ability to respond to common inquires or complaints from customers, regulatory agencies or members of the business community.
? Ability to effectively communicate information to top management and external parties.
? Ability to apply advanced mathematical concepts such as probability and statistical inference.
? Ability to apply concepts such as fractions, percentages, ratios and proportions to practical situations.
? Ability to define problems, collect data, establish facts and draw valid conclusions.
? Ability to interpret an extensive variety of technical instructions and deal with several abstract and concrete variables.
? Fluent English-speaking skill.
THE EXPERIENCE WE’RE LOOKING TO ADD TO THE TEAM:
? Master’s Degree of Business Administration is preferred.
? Background in manufacturing/cost accounting.
? Quick learner, witty and strong capability of learning.
WHAT YOU’LL RECEIVE FOR THE GREAT WORK YOU PROVIDE:
? Social Insurance
? Life Insurance
? PTO
JOB SUMMARY:
? Directs preparation of budgets, reviews budget proposals and prepares necessary supporting documentation and justification.
? Generates and reports an accurate twelve-month rolling financial forecast.
? Prepares reports which summarize and forecast company business activity and financial position in areas of income, expenses and earnings based on past, present and expected operations.
? Establishes or recommends to management strategies, objectives and policies for company.
? Prepares detailed financial analysis and projections at the project and site level.
? Directs preparation of studies, reports and analyses in areas such as budgets, forecasts, financial plans, governmental requirements, statistical reports, cash flow projections and business forecasts.
? Generates Inter-company vouchers (ICV) between Flex Divisions.
? Ensures Sarbanes Oxley compliance in accordance with Flex standard policy and procedures for financial reporting.
? Supports the audit of company accounts.
? Interprets and applies financial policies, governmental legislation, accounting theory or customer financial regulations.
? Provides senior leadership team with timely reviews of organization's financial status and progress in its various programs and activities.
? Advises management on desirable operational adjustments, identifying trends and recommends improvements accordingly. Makes recommendations to management regarding cost saving or profit generating opportunities, risks and profitability improvement strategies.
? Coordinates with all levels of management to gather, analyze, summarize and prepare recommendations regarding acquisition activity and new business planning.
? Conducts special studies to analyze complex financial actions and prepares recommendations for policy, procedure, control or action.
? Researches and prepares economic reports on subjects such as rate of return, depreciation, working capital requirements, investment opportunities, investment performance and impact of governmental requirements.
? Prepares presentations including quarterly business reviews, annual budgets and long-term strategic planning initiatives.
? Establishes operational objectives and assignments.
? Provides feedback and coaching to finance team.
WHAT A TYPICAL DAY LOOKS LIKE:
? At least 8~10 years’ related Finance Analyst experience with 2~3 years GL experience.
? Bachelor’s degree in finance, Accounting, or related field or equivalent experience.
? Ability to read, analyze and interpret the technical journals, financial reports and legal documents.
? Ability to respond to common inquires or complaints from customers, regulatory agencies or members of the business community.
? Ability to effectively communicate information to top management and external parties.
? Ability to apply advanced mathematical concepts such as probability and statistical inference.
? Ability to apply concepts such as fractions, percentages, ratios and proportions to practical situations.
? Ability to define problems, collect data, establish facts and draw valid conclusions.
? Ability to interpret an extensive variety of technical instructions and deal with several abstract and concrete variables.
? Fluent English-speaking skill.
THE EXPERIENCE WE’RE LOOKING TO ADD TO THE TEAM:
? Master’s Degree of Business Administration is preferred.
? Background in manufacturing/cost accounting.
? Quick learner, witty and strong capability of learning.
WHAT YOU’LL RECEIVE FOR THE GREAT WORK YOU PROVIDE:
? Social Insurance
? Life Insurance
? PTO
工作地点
地址:苏州吴中区工业园区苏虹中路268号
求职提示:用人单位发布虚假招聘信息,或以任何名义向求职者收取财物(如体检费、置装费、押金、服装费、培训费、身份证、毕业证等),均涉嫌违法,请求职者务必提高警惕。
职位发布者
Kare..HR
伟创力电子技术(苏州)有限公司
- 电子技术·半导体·集成电路
- 500-999人
- 公司性质未知
- 苏虹中路268号