Job Responsibilities
1 Review US FS including GPA Printing, Hub and Logistics FS and new acquried entities; 2 Prepare US Level consolidation report; 3 Coordinate the preparaion of Annual budget and Quarterly Forecast of NA; 4 Review and coordinate cash flow report of NA on weekly basis; 5 Analysis NA business financials and communicate with each NA entity, address issues related to acconting and reporting of NA; 6 Study tax policy and regulation of NA, optimize business structure and accounting process from the perspective of reduing tax cost and risk;
Job Requirements
Job Requirements: 1. major in accounting, audit, finance, law 2. More than 3 years work experience Experienced in consolidating report, annual budget and Quarterly Forecast, weeklycash flow report. 3. Good knowledge of accounting, be familiar with GAAP or IFRS; 4. Good command of written and spoken English; can speak Chinese 5 Have a good background of audit, financial and law knowledge, be familiar with financial and tax regulations and the relevant audit regulation. 6. Audit experience in large and medium-sized accounting firms is a plus
Required Languages
English, Mandarin
Job Details
Position type
Accountant/Finance Professional
Experience
3~5 years