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Financial Controller

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  • Posted 3 months ago

Job Description

Position Summary

Company is seeking a motivated, enthusiastic, experienced leader to be a part of our Organization. As the (Group Finance Controller), you will partner with Business Team and provide broad financial support to the business. The role will be responsible for all the financial reports and providing strategic and operational finance advice and counsel in all areas of finance related and helping business achieve its goals. Meanwhile, contribute to day-to-day management.

Key Responsibilities

  1. Develop, manage, analyze, evaluate and interpret actual operating financial results and financial forecasts as well as yearly business plans. In addition, ensure accuracy, consistency and transparency of the financial data and all related information.
  2. Advise and counsel on the financial implication of the actions and business decision. Support business initiatives and business process improvement efforts.
  3. Ownership of account reconciliation process to maintain financial integrity of general ledger and its supporting sub-ledgers. Assess adequacy of reserves and overall financial reporting, including Balance Sheet Review process.
  4. Establish, monitor and maintain a system of internal controls that safeguard company assets and provides an integrity study of all financial transactions and related activities.
  5. Ensure all finance responsibilities are defined and communicated throughout the site with specific responsibilities and appropriate timing to meet the required finance standard work.
  6. Develop, interpret, implement and monitor policies and procedures, ensure compliance with local statutory and fiscal requirements as required.
  7. Take charge of or assist with accounting and financial activities for group oversea entities. (e.g., tax compliance, cash flow management, consolidated reporting, etc.).
  8. Participate in financial system and process improvement projects, providing professional guidance and facilitating cross-functional collaboration.
  9. Corporate management analysis and construction of financial models
  10. Plan and execute various corporate financing projects including bank correspondence and strategic investment planning
  11. Monitor and review financials of different product lines and formulate a plan of action
  12. Provide dependable short-term and long-term predictions/forecasts of product lines and projects
  13. Perform critical reviews of budget/actual financial performance
  14. Provide reports with sales insights, including potential high-profitability opportunities and early risk assessments of future forecasts

Qualifications

  1. Bachelor's degree or above in Accounting or Finance related fields; Taiwan CPA certification required.
  2. Minimum of 10 years of relevant accounting experience, including at least 2 years in an accounting firm and over 6 years in industry, with experience managing a team of 6 or more.
  3. At least 2 years of experience handling financial operations for the China market, or experience managing group subsidiary accounting; familiarity with China's financial regulations is a strong plus.
  4. Excellent problem-solving and analytical skills, communication abilities, and cross-functional collaboration capabilities.
  5. Proficiency in both English and Mandarin is preferred.
  6. Familiar with Microsoft application and Oracle ERP experience preferred.

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About Company

Job ID: 134968299