14 Nov 2022
One of the largest retail corporations in the world
What can the client offer?
A very friendly working environment with good internal career progression
Competitive salary and work life balance
What are your responsibilities?
Responsible for the financial planning & analysis and monthly management reporting
Perform financial budgeting and forecasting base on the business performance
Carry out regular business review with stakeholders and business units’ heads in terms of performance analysis
Handle annual financial budgets and quarterly rolling financial forecasts
Manage tax computation and prepare monthly cash flow forecast and cash flow statements
Monitor cash flow, cash allocation and other treasury functions
Manage the procedures of payment and ensure sufficient internal control over payment
Responsible for the maintenance of group financial and internal control policy manual
Assist in ad hoc assignments
What skills/ qualification will you need?
Degree holder in Accounting/Finance or equivalent
At least 5 years of relevant experience with at least 2 years in supervisory level
Experience and familiar with SAP will be an asset
Excellent command of written & spoken English and Chinese
Who would be suitable for the position?
Someone who is willing to take on the challenge of being in a new rapidly growing industry
High integrity and good communication & influencing skills
Providing us with a copy of your CV will greatly assist us in identifying suitable roles for you. However, under no circumstances will we submit your CV or identify you to any third party without your specific prior knowledge and consent. Only with your express permission will we disclose your details to prospective employers.
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