Controller, Business Planning and Controlling
林德集团
- 公司性质:外资(欧美)
- 公司行业:多元化业务集团公司
职位信息
- 发布日期:2013-09-10
- 工作地点:上海-浦东新区
- 招聘人数:1
- 工作经验:十年以上
- 学历要求:本科
- 语言要求:英语熟练
- 职位类别:财务总监
职位描述
Role Description:
- This role is to support the Business Segment development and management by providing all necessary financial information and analysis to facilitate business decision making process and tools to structure the business development process;
- Role has cross-function responsibility; hence smooth cooperation with Shared Service Center and business team is expected.
- Role has business segment responsibility – frequent travel outside the base is expected.
Primary Responsibility:
- Provide and consolidate timely variance analysis against business plan and trend including but not limited to GBU/BA margin analysis, monthly performance review, productivity, pricing recovery, etc
- Prepare local management reports for the management team
- Ensure costing structure is properly setup and updated to reflect latest operation status
- Coordinate with different business segment to set up appropriate Transfer Pricing and Costing to ensure implementation in accordance with Group policy or operational reality
- Lead the budget preparation process, and ensure high quality submission and in-depth analysis
- Coordinate with SSC for annual statutory auditing and Group internal auditing;
- Support SSC on Daily operation and management of all tax issues and keep good relationship with tax bureau;
- Interface with SSC on statutory reports preparation, plus Group reporting package as per agreed timeline;
- Support / lead financial due diligence workstreams during the M&A execution phase, as co-ordinated / instructed by GSF M&A (finance support to GSF M&A)
- Drive and own the month end closing process, and ensure the service level agreement with SCC is fully executed.
- Establish assets management policy and ensure proper physical custody and recording of the assets
- Actively participate in business decision making process and be part of the business management team
- Prepare cash flow forecast to support treasury on funding activities especially relating to investment
- Lead and drive business decision support including specific initiatives/programme support, eg What if analysis, make vs buy, market product decisions, profit improvement programmes, cost management, supply chain optimisation, pricing, trade working capital analysis, etc
- Assist business case development for new projects, implementation & continuous monitoring to ensure consistency with Linde Group policy, procedures and guidelines
- Prepare investment evaluation model to assist new project investment decisions
- Ensure proper capital expenditure forecast
- Continuously drive the business performance initiatives
- Support SAP implementation, and coordinate with Business Decision Support Controller and SSC to support the system application
- Assist the development and implementation of business KPIs, Scorecards, etc
- Assist Director, Business Planning and Controlling to prepare and deliver business plan
- Contingency analysis and ad hoc requirements
- Establish performance standards for team members and conducts performance appraisal
- Oversees staff’s individual development and training
- Recognise and adjusts for inequities among assignments within the team
Required key skills (functional/technical):
- Solid Accounting and Finance Skills
- Strong Interpersonal Skills
- Strong Communication & Influencing Skills
- Project management skills
Required Qualification:
- Degree in business with focus on Accounting/Finance/Economics
- Professional Accounting Qualifications
- Minimum 8 years in broad range of finance & accounting functions in MNCs
- Excellent computer skills, ideally SAP
- This role is to support the Business Segment development and management by providing all necessary financial information and analysis to facilitate business decision making process and tools to structure the business development process;
- Role has cross-function responsibility; hence smooth cooperation with Shared Service Center and business team is expected.
- Role has business segment responsibility – frequent travel outside the base is expected.
Primary Responsibility:
- Provide and consolidate timely variance analysis against business plan and trend including but not limited to GBU/BA margin analysis, monthly performance review, productivity, pricing recovery, etc
- Prepare local management reports for the management team
- Ensure costing structure is properly setup and updated to reflect latest operation status
- Coordinate with different business segment to set up appropriate Transfer Pricing and Costing to ensure implementation in accordance with Group policy or operational reality
- Lead the budget preparation process, and ensure high quality submission and in-depth analysis
- Coordinate with SSC for annual statutory auditing and Group internal auditing;
- Support SSC on Daily operation and management of all tax issues and keep good relationship with tax bureau;
- Interface with SSC on statutory reports preparation, plus Group reporting package as per agreed timeline;
- Support / lead financial due diligence workstreams during the M&A execution phase, as co-ordinated / instructed by GSF M&A (finance support to GSF M&A)
- Drive and own the month end closing process, and ensure the service level agreement with SCC is fully executed.
- Establish assets management policy and ensure proper physical custody and recording of the assets
- Actively participate in business decision making process and be part of the business management team
- Prepare cash flow forecast to support treasury on funding activities especially relating to investment
- Lead and drive business decision support including specific initiatives/programme support, eg What if analysis, make vs buy, market product decisions, profit improvement programmes, cost management, supply chain optimisation, pricing, trade working capital analysis, etc
- Assist business case development for new projects, implementation & continuous monitoring to ensure consistency with Linde Group policy, procedures and guidelines
- Prepare investment evaluation model to assist new project investment decisions
- Ensure proper capital expenditure forecast
- Continuously drive the business performance initiatives
- Support SAP implementation, and coordinate with Business Decision Support Controller and SSC to support the system application
- Assist the development and implementation of business KPIs, Scorecards, etc
- Assist Director, Business Planning and Controlling to prepare and deliver business plan
- Contingency analysis and ad hoc requirements
- Establish performance standards for team members and conducts performance appraisal
- Oversees staff’s individual development and training
- Recognise and adjusts for inequities among assignments within the team
Required key skills (functional/technical):
- Solid Accounting and Finance Skills
- Strong Interpersonal Skills
- Strong Communication & Influencing Skills
- Project management skills
Required Qualification:
- Degree in business with focus on Accounting/Finance/Economics
- Professional Accounting Qualifications
- Minimum 8 years in broad range of finance & accounting functions in MNCs
- Excellent computer skills, ideally SAP
公司介绍
林德集团诚聘