Finance Manager
美卓织物(上海)有限公司
- 公司规模:50-150人
- 公司性质:外资(欧美)
- 公司行业:服装/纺织/皮革
职位信息
- 发布日期:2012-08-02
- 工作地点:天津
- 招聘人数:1
- 工作经验:五年以上
- 学历要求:本科
- 语言要求:英语熟练
普通话熟练 - 职位类别:财务经理
职位描述
JOB STATEMENT:
Manage the day-to-day financial activities of the organization; control its financial resources and ensure that all financial transactions, systems and procedures comply with regulations, accounting principles, and standards. Activities may include: financial analysis and reporting; taxation; insurance; credit control; accounts payable and receivable; inventory and costs control; and budgeting and forecasting.
JOB DUTIES AND JOB RESPONSIBILITIES
Safety
Follow Metso's Safety Guidelines.
Quality
Making sure accounts and financial activities comply with regulations, accounting principles and standards. All financial reports and data are accurate and correct.
Financial Analysis and Reporting
Prepare the organization's financial reports and present findings and recommendations to the top executive group. Reports may include auditor and financial analyst reports; profit and loss statements and balance sheets; and regulatory reports and filings.
To interpret financial information on costs, prices, expenses and revenues and make recommendations to senior management.
Prepare in-depth evaluations of plans and identify new methods of analysis and presentation.
Advise senior management on financial matters and on the potential impact of current and future laws and regulations on the operation of the organization.
Budget and forecasting
Analyze the organization's revenues, liabilities, credit conditions, and other financial indicators to forecast it's short, medium, and long-term cash flow position; evaluate and recommend investments, funding sources, and other financial instruments that will meet these cash flow needs.
Assisting to establish and coordinate the budgeting system and procedures and produce budget and performance reports for senior management.
Accounting
Manage day-to-day accounting activities in accordance with Tamfelt's accounting policies and procedures. Accounting activities include accounts payable and receivable, general ledger maintenance, revenue and asset accounting etc.
Review all financial reports and accounting statements to ensure they have been accurately prepared.
Responsible for fixed asset management including working out the standard management procedures.
Inventory and cost control
Regularly checking the financial data in SAP to make sure the costing dada is correct all the time, audit all SAP materials transaction related with costing issues.
Communicates with Finland for annually setting and updating machine hours, labor hour's rates.
Interpret and disseminate the cost accounting information to management.
Plan, direct and monitor the activities related to development and organization of TTPMC's costs system, involving analysis of the real cost of the products and their respective contribution margins.
Taxation
Evaluate the organizations' current or proposed activities, policies, business practices and transactions to ensure that they comply with all relevant laws and regulations.
Ensure all tax returns, tax declarations, and other required reports are submitted accurately and on time.
Advise management on tax matters and on the potential impact of current and future laws and regulations on the operation of the organization.
Select, and manage ongoing relationships with external consultants and advisors to ensure the organization receives satisfactory standards of service.
Leadership and Training
Lead, direct, evaluate, and develop financial staff to ensure that the organization's accounting activities are conducted accurately, ethically, consistently and according to relevant regulations, laws, and standards.
Responsible for Financial department's training plan and training activities.
Cost and Efficiency
Complete the cost targets set by TTPMC each year.
Fulfill cost control function, detail see the above described.
Other tasks
Provide technical expertise and advice on financial issues to functional or operational areas managers to help them develop revenue and expense budgets, understand financial reports, and manage their financial responsibilities.
Participates in Management Meetings.
Presents all the personnel needs to General Manager/HR Manager.
Conducts other tasks assigned by General Manager.
RELATIONSHIP AND AUTHORITY
Reports to General Manager directly and communicates with Finland, Sales, HR, Purchasing, Logistics, and Production personnel to integrate their functional needs Financial and Accounting activities.
Direct Superior to cashier and accountant.
QUALIFICATIONS&EXPERIENCE
Bachelor degree in accounting, CPA preferred.
At lease five years experience in general accounting, taxation, costing and 2 years management position.
Speak, Read & Write fluent English & Mandarin.
Familiar with PRC tax regulations.
Knowledge on foreign exchange regulation.
Strong business sense and Strong Leadership Skills
Manage the day-to-day financial activities of the organization; control its financial resources and ensure that all financial transactions, systems and procedures comply with regulations, accounting principles, and standards. Activities may include: financial analysis and reporting; taxation; insurance; credit control; accounts payable and receivable; inventory and costs control; and budgeting and forecasting.
JOB DUTIES AND JOB RESPONSIBILITIES
Safety
Follow Metso's Safety Guidelines.
Quality
Making sure accounts and financial activities comply with regulations, accounting principles and standards. All financial reports and data are accurate and correct.
Financial Analysis and Reporting
Prepare the organization's financial reports and present findings and recommendations to the top executive group. Reports may include auditor and financial analyst reports; profit and loss statements and balance sheets; and regulatory reports and filings.
To interpret financial information on costs, prices, expenses and revenues and make recommendations to senior management.
Prepare in-depth evaluations of plans and identify new methods of analysis and presentation.
Advise senior management on financial matters and on the potential impact of current and future laws and regulations on the operation of the organization.
Budget and forecasting
Analyze the organization's revenues, liabilities, credit conditions, and other financial indicators to forecast it's short, medium, and long-term cash flow position; evaluate and recommend investments, funding sources, and other financial instruments that will meet these cash flow needs.
Assisting to establish and coordinate the budgeting system and procedures and produce budget and performance reports for senior management.
Accounting
Manage day-to-day accounting activities in accordance with Tamfelt's accounting policies and procedures. Accounting activities include accounts payable and receivable, general ledger maintenance, revenue and asset accounting etc.
Review all financial reports and accounting statements to ensure they have been accurately prepared.
Responsible for fixed asset management including working out the standard management procedures.
Inventory and cost control
Regularly checking the financial data in SAP to make sure the costing dada is correct all the time, audit all SAP materials transaction related with costing issues.
Communicates with Finland for annually setting and updating machine hours, labor hour's rates.
Interpret and disseminate the cost accounting information to management.
Plan, direct and monitor the activities related to development and organization of TTPMC's costs system, involving analysis of the real cost of the products and their respective contribution margins.
Taxation
Evaluate the organizations' current or proposed activities, policies, business practices and transactions to ensure that they comply with all relevant laws and regulations.
Ensure all tax returns, tax declarations, and other required reports are submitted accurately and on time.
Advise management on tax matters and on the potential impact of current and future laws and regulations on the operation of the organization.
Select, and manage ongoing relationships with external consultants and advisors to ensure the organization receives satisfactory standards of service.
Leadership and Training
Lead, direct, evaluate, and develop financial staff to ensure that the organization's accounting activities are conducted accurately, ethically, consistently and according to relevant regulations, laws, and standards.
Responsible for Financial department's training plan and training activities.
Cost and Efficiency
Complete the cost targets set by TTPMC each year.
Fulfill cost control function, detail see the above described.
Other tasks
Provide technical expertise and advice on financial issues to functional or operational areas managers to help them develop revenue and expense budgets, understand financial reports, and manage their financial responsibilities.
Participates in Management Meetings.
Presents all the personnel needs to General Manager/HR Manager.
Conducts other tasks assigned by General Manager.
RELATIONSHIP AND AUTHORITY
Reports to General Manager directly and communicates with Finland, Sales, HR, Purchasing, Logistics, and Production personnel to integrate their functional needs Financial and Accounting activities.
Direct Superior to cashier and accountant.
QUALIFICATIONS&EXPERIENCE
Bachelor degree in accounting, CPA preferred.
At lease five years experience in general accounting, taxation, costing and 2 years management position.
Speak, Read & Write fluent English & Mandarin.
Familiar with PRC tax regulations.
Knowledge on foreign exchange regulation.
Strong business sense and Strong Leadership Skills
公司介绍
美卓织物(上海)有限公司(坦姆菲尔特特种纺织品)
美卓织物(上海)有限公司前身是坦姆菲尔特特Tamfelt种纺织品有限公司,美卓于2010年正式收购坦姆菲尔特。
坦姆菲尔特集团成立于1797年,是芬兰工业的领先者之一。其成立的灵感来自于Jokioinen庄园,大量羊群的存在促使其想通过新英格兰机械方法生产毛纺。
坦姆菲尔特是世界范围内造纸机及工业用过滤布的最大生产厂商。我们同过提供优质的服务、出色的产品及长久的合作关系,而赢得了广大客户的信赖和支持。
从1882年开始生产纸机织物到今天,坦姆菲尔特已经是全球高速纸机织物方面的领先者。目前,坦姆菲尔特在全球的五个国家拥有七家工厂,在中国的两家分别位于天津滨海和上海嘉定。总体上,坦姆菲尔特的业务单元可分为两部分,一为纸机织物,为大中型纸机提供相关织物;另一部分是面向浆厂、矿业、电力系统的过滤网。其中,最值得一提的是坦姆菲尔特针对制浆行业生产的过滤网,在全球范围内占到80%以上的市场份额。
美卓织物(上海)有限公司
公司地址:上海市嘉定区徐行镇宝凤路688号
公司班车行车路线:
莘庄线:天钥桥路903号—田林路桂林路—桂林路沪闵路—沪闵路报春路—桃浦
嘉定线1:塔城路高仓路—上海大学—城中路塔城路—仓场路—塔城路新城路—菊园路
嘉定线2:上师大天华学院
1号车:三林城—上南路成山路—由由小区—世纪大道东方路地铁站—云南南路延安东路
2号车:控江路双辽路—大连西路四平路—大连西路曲阳路—沪太路场中路—上大路
3号车:共和新路永和路—共和新路临汾路—通河路地铁站—富长路—美兰湖
4号车:汾西路邮局—岭南路保德路—爱辉路共江路—顾村公园
5号车:共和新路永兴路—共和新路中兴路—闸北公园(宋园)
6号车:光新路乐购车站—宜川华联吉买盛—沪太路余庆桥
7号车:虹桥路水城南路—红松东路虹许路
8号车:曹杨路三汽公司—真如西村
9号车:周家嘴路双阳路—黄兴公园地铁站—翔殷路二军大—五角场—汶水东路凉城路
美卓织物(上海)有限公司前身是坦姆菲尔特特Tamfelt种纺织品有限公司,美卓于2010年正式收购坦姆菲尔特。
坦姆菲尔特集团成立于1797年,是芬兰工业的领先者之一。其成立的灵感来自于Jokioinen庄园,大量羊群的存在促使其想通过新英格兰机械方法生产毛纺。
坦姆菲尔特是世界范围内造纸机及工业用过滤布的最大生产厂商。我们同过提供优质的服务、出色的产品及长久的合作关系,而赢得了广大客户的信赖和支持。
从1882年开始生产纸机织物到今天,坦姆菲尔特已经是全球高速纸机织物方面的领先者。目前,坦姆菲尔特在全球的五个国家拥有七家工厂,在中国的两家分别位于天津滨海和上海嘉定。总体上,坦姆菲尔特的业务单元可分为两部分,一为纸机织物,为大中型纸机提供相关织物;另一部分是面向浆厂、矿业、电力系统的过滤网。其中,最值得一提的是坦姆菲尔特针对制浆行业生产的过滤网,在全球范围内占到80%以上的市场份额。
美卓织物(上海)有限公司
公司地址:上海市嘉定区徐行镇宝凤路688号
公司班车行车路线:
莘庄线:天钥桥路903号—田林路桂林路—桂林路沪闵路—沪闵路报春路—桃浦
嘉定线1:塔城路高仓路—上海大学—城中路塔城路—仓场路—塔城路新城路—菊园路
嘉定线2:上师大天华学院
1号车:三林城—上南路成山路—由由小区—世纪大道东方路地铁站—云南南路延安东路
2号车:控江路双辽路—大连西路四平路—大连西路曲阳路—沪太路场中路—上大路
3号车:共和新路永和路—共和新路临汾路—通河路地铁站—富长路—美兰湖
4号车:汾西路邮局—岭南路保德路—爱辉路共江路—顾村公园
5号车:共和新路永兴路—共和新路中兴路—闸北公园(宋园)
6号车:光新路乐购车站—宜川华联吉买盛—沪太路余庆桥
7号车:虹桥路水城南路—红松东路虹许路
8号车:曹杨路三汽公司—真如西村
9号车:周家嘴路双阳路—黄兴公园地铁站—翔殷路二军大—五角场—汶水东路凉城路
联系方式
- 公司地址:嘉定
- 邮政编码:201809
- 联系人:Ms. Wang
- 电话:(021)39975000