1. Provide reporting and management information for leadership and related departments with analytical initiatives.
2. Prepare, update, and track annual and periodic budget and forecasting plan.
3. Signature and authorize payment from banks and significant capital.
4. Evaluate tax and potential risk and issues of transfer price.
5. Evaluate capital fund and cash flow.
6. Lead facility finance team and improve/build up internal working processes.
7. Support related department about financial issues.
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