About the job
We are looking for a Finance Controllerfor our Financial departmentreporting to the Director of Financing and Risk Control Center.
Key Responsibilities:
- Managing all finance and accounting operations.
- Develop and document business processes and accounting policies to maintain and strengthen internal controls.
- Manage cash flow including forecasting cash flow needs planning for foreign currency needs in advance and alerting upper management for cash flow deficiencies.
- Act as audit liaison including meeting with external audit staff being receptive to audit findings implementing reporting changes and communicating to upper management or the board of directors the outcomes of the audit.
- Monitor internal controls including gathering feedback from audit personnel working with individuals on designing proper control functions and gathering data on the effectiveness of the internal control.
- Take control of budget preparation including feeding individuals around the company data and information on historical spending across a variety of general ledger coding.
- Preparing and publishing timely monthly financial statements.
- Compile financial reporting including being aware of recent changes to financial reporting practices ensure quality control over financial transactions and financial reporting. Manage and comply with government reporting requirements and tax filings.
- Identify cost savings including understanding where operational efficiencies lie how staff can be best utilized what reporting functions are being duplicated and what resources the finance department really needs.
- Ensure financial compliance including understanding external reporting requirements ensuring proper resources are on hand to meet those requirements and overseeing the final product being delivered to external parties.
- Responsible for the financing and investment process and risk control of the organization and for providing recommendations and advice to management.
- Minimize financial risk including being aware of current processes understanding company weaknesses engaging employees with training and openly communicating areas of opportunity to better safeguard assets.
Required skills qualifications and experience
- MBO or HBO education in finance accounting economics or another related area;
- 23 years of working experience in a similar role;
- Knowledge and understanding of corporate finance functions and procedures;
- Advanced spoken and written English.Being able to speak Chinese is a plus.
- Proficient with MS Office (Word Excel Outlook and PowerPoint);
- SAP user experience will be an asset;
- Excellent communication collaboration and problemsolving skills;
- Detail oriented and good with analyzing large data.
- Able to work under pressure and handle multitasks;
We offer:
- Work in a rapidly growing company which embodies sustainable and forwardthinking technology;
- Performance and experience based competitive remuneration.
- Team building events and employee learning opportunities.
Our Purpose is to build a zeroemission future that reconnects humanity with nature and a World of clean air. We are looking for talent that connects with this mission and want to create positive impact by joining a diverse and dynamic team