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Finance Manager (Marine) (M15496)

Salary undisclosed

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  • Provide timely and accurate financial information and analyses including management and financial reporting, budgeting, forecasting and overall control
  • Lead and manage continuous improvement projects for finance department excellence
  • Work along General Manager on monthly review of entities financial performance, follow up on queries and ensure closure of action items
  • Work closely with Director to achieve financial KPIs
  • Review projects profitability and submit monthly reports to management, explaining delta costs and margin achievements against forecasts
  • Credit review and release for new customers, release of sales orders and variation orders in SAP
  • Cash flow management, including cash flow forecast and the review of foreign exchange hedging requirements
Requirements:
  • Qualified accountant with at least 5 years of experience in related field.
  • Good experience and knowledge in SAP systems
  • Prior experience in Commercial FP&A or business partnering
  • Self-motivated, dynamic and result oriented individual
  • Ability to work independently and produce accurate works within tight deadlines
  • Team player with initiative, willingness to learn and take on responsibilities
  • Strong collaboration, consensus building, problem resolution and communication skills
  • Provide timely and accurate financial information and analyses including management and financial reporting, budgeting, forecasting and overall control
  • Lead and manage continuous improvement projects for finance department excellence
  • Work along General Manager on monthly review of entities financial performance, follow up on queries and ensure closure of action items
  • Work closely with Director to achieve financial KPIs
  • Review projects profitability and submit monthly reports to management, explaining delta costs and margin achievements against forecasts
  • Credit review and release for new customers, release of sales orders and variation orders in SAP
  • Cash flow management, including cash flow forecast and the review of foreign exchange hedging requirements
Requirements:
  • Qualified accountant with at least 5 years of experience in related field.
  • Good experience and knowledge in SAP systems
  • Prior experience in Commercial FP&A or business partnering
  • Self-motivated, dynamic and result oriented individual
  • Ability to work independently and produce accurate works within tight deadlines
  • Team player with initiative, willingness to learn and take on responsibilities
  • Strong collaboration, consensus building, problem resolution and communication skills