職缺描述
• Act as business partner with respective Site Managers, Operations, Key Account team to support the analysis of their monthly results from different dimensions. • Work with Finance Manager to provide month-end management reports with solid variance analysis. Able to identify risk and opportunities with recommendations for improvements. • To prepare and ensure accuracy of monthly reports, cash flow estimation and rolling forecast submission to Region. • Budgetary control such as Revenue assurance, cost allocation, Manpower cost , transportation cost etc. Close coordination with respective site managers on their P/L performance review and tracking. • Experience in forecast/budget coordination and reporting. In charge of inputs into respective internal Forecast/Budget tools. • Support business case review. (Pre/Post review) • To support internal controls and compliance review and checking, ensure all are performed and aware by employees. • To liaise with Regional Office and the Hub (where applicable) on report compilation. • To support ad-hoc projects such as the implementation of new regional tools/processes.
收合內容