About the role
Participate in the construction of company's overseas regional financial support system. Continued to optimize Europe’s financial processes, identified and controlled risk points, established/improved corresponding financial policy/procedures and promoting the automation and systematization of financial processes. Support local compliance in Europe, including but not limited to compliance reporting, taxation, treasury and other related compliance and risk control matter. Participate in the preparation and execution of budgeting of international business, support of the company's globalization strategy rollout in Europe; Participate in European business discussions and provide forward-looking financial support for business operations and back-office teams; Summarize, analyze and refining overseas business and financial data, analyze and evaluate the business operation status, key projects middle/back-office resources utilisaion, provide financial advice and assist business decisions. Design and establish our international business financial analysis framework. Requirements Personal qualities: honest, tenacity, diligence, strong team spirit also a self-starter, able to deliver under tight deadline between conflicting priorities Clear and logical thinker, strong execution and communication skills MNC company regional finance system, process development and optimization experience is preferred Big 4 accounting firms and overseas study and working experience Fluent in English and native mandarin level CPA, ACCA, top business school MBA is an added advantage This role requires certain degree of overseas/regional travel
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