關鍵職責(Key Accountabilities)
主導營運資本、自由現(xiàn)金流及其他現(xiàn)金指標的預算與預測
Lead the budgeting and forecasting of Working Capital (WC), Free Cash Flow (FCF), and other cash-related metrics, ensuring alignment with corporate financial strategies.
執(zhí)行并分析自由現(xiàn)金流預測模型
Develop and maintain FCF forecasting models, conducting in-depth analyses to identify trends, variances, and improvement opportunities.
負責季度 / 月度結(jié)賬、報告及與業(yè)務部門和財務控制團隊的溝通
Oversee quarterly and monthly financial closings, prepare accurate financial reports, and collaborate with Business Units (BUs) and the controllership team to ensure compliance and transparency.
支持現(xiàn)金管理負責人推動自由現(xiàn)金流提升和現(xiàn)金轉(zhuǎn)換周期優(yōu)化
Assist the Cash Leader in implementing initiatives to enhance FCF performance and optimize Cash Conversion Cycle (CCC), such as working capital management and operational efficiency improvements.
基本任職要求(Basic Qualifications)
教育背景與經(jīng)驗
本科及以上學歷,具備5-10 年扎實的財務規(guī)劃與分析(FP&A)或商業(yè)財務經(jīng)驗,熟悉財務建模與預算流程。
Preferred: Medical device or healthcare industry background, with understanding of industry-specific financial dynamics (e.g., regulatory impacts, revenue recognition).
專業(yè)知識與技能
精通財務、會計、稅務及資金管理知識,具備扎實的財務報表分析能力。
優(yōu)秀的中英文書面及口頭表達能力,能熟練進行跨部門溝通與英文報告演示。
具備出色的溝通與匯報能力,可有效協(xié)調(diào)多方需求并向管理層提供清晰的財務洞察。
強問題解決能力與積極的工作態(tài)度,能在高壓環(huán)境下獨立驅(qū)動項目落地,適應動態(tài)業(yè)務需求。
其他優(yōu)勢
熟練使用財務分析工具(如 Excel 高級函數(shù)、ERP 系統(tǒng))及可視化工具(如 Power BI)者優(yōu)先。
有跨國公司財務管控經(jīng)驗或參與過現(xiàn)金流優(yōu)化項目者優(yōu)先。
備注:負責Reporting budgeting,quaterliy closing等等。 要support做process,global項目落地