KEY RESPONSIBILITIES:
• Collaborare with other region and corporate finance team for periodical financial pack and meet Corp requirement
• leading compliance for Int'l business by seting up, implement ing robust control mechanism
• Leading In t'l audit and tax affairs to improve audit result and transparency, and redu ce tax risks and costs.
• Projecting cashow and sustaining smooth cashflow, While improving cash efficiency by optimizing turnover of stock, receivable, payable
• Budgeting and forecasting for short and long term strategic planning and analysis
• Developing financial models implementing systems and processes around sales forecasting, expense tracking, and analyzing key performance indicators to accelerate scale
• Proactively identify risks and improvement opportunities, and then serve as an advisor to senior leadership address those concerns
• Play a key role in analyzing capital strategy for future fundraising and M&A activities.
• Support cross functional teams in developing relevant financial metrics to tightly track progress and performance across the company's operations
• Perform recommendation oriented analysis On the strategic, operational, and financial impacts of managerial actions, summarizing information in a format that effectively communicates outcomes/scenarios to manag ement
• Create meaningful and visual ways of presenting key business insights to management
IDEAL CANDIDATES
• Bachelor's degree in Finance, Accounting or Economics preferred; MBA or other advanced degree highly preferred
• Minimum 10 years' experience in Fina nce FP&A, Budgeting, Forecasting
• High proficiency in Excel building financial and decision support models
• Analytical prowess, strategic thinking and detail oriented
• French Native and fluent with English is highly preferred
• Ability to Travel
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