Description
The role is responsible for preparing monthly and quarterly reports, year-end closing, business planning and forecasting, budget control and variance analysis, cost-control process standardization and automation, strategic cost-reduction and efficiency goals, and investment profitability assessments. It requires a bachelor's or master's degree in finance or accounting, strong PPT and Excel skills, fluent English, SAP experience preferred, strong communication and self-management abilities, and the ability to work independently under pressure.
