杭州 [切换城市] 杭州招聘杭州财务/审计/税务招聘杭州财务经理招聘

财务经理

上海科岚文化传播有限公司

  • 公司规模:500-1000人
  • 公司性质:外资(欧美)
  • 公司行业:互联网/电子商务

职位信息

  • 发布日期:2013-06-22
  • 工作地点:杭州
  • 招聘人数:1
  • 工作经验:八年以上
  • 学历要求:大专
  • 职位类别:财务经理  

职位描述

Job Description

职位描述

l Manage and control periodic management accounts, cash-flow and balance sheet as per group requirements to ensure all financial information provided is on time, accurate, reliable and in compliance with group accounting policies and rules and regulations of local tax and other government authorities.

按照集团的要求管理和控制定期管理账目,现金流及资产负债表,以确保所有提供的财务信息是及时、准确、可靠并符合集团的财务政策及地方税收的的规章制度。

l Process all necessary GL reconciliations for all entities on a timely basis to ensure controllership

及时的处理所有实体的总账对账,确保所有人利益。

l Ensure that Debtor balances are paid in accordance with company credit terms.

l Ensure all financial and operational policies and procedures are correctly understood and applied, and that financial results reported comply with these procedures

确保正确的理解和应用所有财务和业务政策、流程,所有的财务业绩报告是符合这些程序的。

l Actively support and participate in the preparation of annual budgets and monthly and quarterly forecast

积极协助和参与编制年度预算和月度及季度的预测

l Work closely with the Head Office Finance team to always keep them informed on all aspects of the company’s finances

与首席财务官始终保持财务各个方面的紧密合作,使他实时了解公司的财务状况。

l Actively provide financial expertise for the local business with input on cost benefit analysis on decisions being made

对于当地业务正在进行的成本效益分析,积极提供相关的金融专业知识。

l Streamline and improve internal control process to ensure compliance to corporate governance

简化和改进内部控制流程以确保符合公司管治。

l Liaise with external accounting and Government authority on annual audit and legal compliance

联络外部事务所和政府当局按照法律规定做年度审计。

l Manage finance team – recruit, train and succession planning

管理财务团队,招聘、培训及财务计划

l Internal control and audit experience is preferred

有内部财务控制机审计经验者优先。


Experience Required

任职资格

l 5+ years experiences of managing a finance function in a commercial environment

5+ 年财务管理经验

l Management of accounts preparation - Profit & Loss, Balance Sheet and Cash Flow, to closing stage

账户管理-损益表,资产负债表及现金流

l Working under pressure and to tight deadlines

能在压力环境下工作并严格按期限完成工作任务。

l Management or oversight of a credit control function with responsibility for on time cash collections.

l Has experience in working with senior level managers

有与高级经理一起工作的经验。

l A mature, independent, hands-on, cheerful and self-motivated team player

成熟、独立、熟悉实际操作、开朗及良好的自我激励

l Can speak and write English and Chinese fluently;

流利的中英文读写。

l Familiar with Sun Accounting Software would be an advantage

l Ambitious and proactive

有雄心且工作积极主动

l Adapt to traveling on business

能适应出差


公司介绍

Saongroup.com是一家爱尔兰独资的企业。我们在中国之外还在爱尔兰,苏格兰,印度,加勒比海地区,卢森堡,南非和美国提供领先的网络服务。
Saongroup.com有超过12年为它客户提供网络服务的先进经验。集团是一个由本地专业和经过高度训练的团队组成的网络,每个团队高度专注于专门的地区,城市和省份。