财务总监

Recruiter
南京英诺森软件科技有限公司
Location
江苏-南京-秦淮区
Posted
13 Sep 2019
Closes
03 Oct 2019
Ref
b1024259
Job role
Finance director
岗位职责:
1、建立和完善公司的财务管理制度,制订财务核算体系和财务监控体系,进行有效的内部控制;
2、掌握公司财务状况、经营成果和资金变动情况,定期向COO&CEO Office汇报运营结果和财务数据;
3、参与公司经营工作的分析和决策,提供财务专业支持;
4、制定公司资金运营计划,监督资金管理报告和预、决算;
5、审核签署公司预算、财务收支计划、成本费用计划、财务报告、会计决算报表,会签涉及财务收支的重大业务计划、经济合同、经济协议等;
6、协调公司同银行、工商、税务等政府部门的关系,维护公司利益;
7、熟悉IPO要求,对全球上市规则均有理解;
8、熟悉中国及北美的会计准则;

任职要求:
1、财务/会计/金融/经济/审计等相关专业本科以上学历,拥有CPA或上市筹划经验者优先;
2、五年以上财务总监/财务负责人岗位的工作经验,有四大会计师事务所工作经验者优先;
3、擅长财务规划、分析、决策,精通投、融资管理和资本营运管理,较强的风险控制意识。
4、熟悉税法政策、营运分析、成本控制及成本核算。
5、团队合作精神。

Job responsibilities:
1. Establish and improve the company's financial management system, formulate financial accounting and financial monitoring system, effective internal control;
2. Know well company's financial situation, operating results and changes in funds, and regularly report operating results and financial data to COO&CEO Office;
3. Participate in the analysis and decision-making of the company's operation and provide financial professional support;
4. Formulate company's capital operation plan, supervise fund management report and budget and final accounts;
5. Audit and sign company budget, financial revenue and expenditure plan, cost and expense plan, financial report and accounting statement, and sign major business plans, economic contracts and economic agreements involving financial revenue and expenditure.
6. Coordinating the relationship between the company and government departments such as banks, industry and commerce, taxation, etc. to safeguard the interests of the company;
7. Familiar with IPO requirements and have an understanding of global listing rules;
8. Familiar with accounting standards in China and North America;

Requirements:
1. Bachelor degree or above in Finance/Accounting/Finance/Economics/Audit or other related disciplines. CPA or listing planning experience is preferred.
2. Five years or more of working experience in the post of CFO/CFO, and four major accounting firms are preferred.
3. Good at financial planning, analysis, decision-making, proficient in investment, financing management and capital operation management, strong risk control awareness.
4. Familiar with tax policy, operation analysis, cost control and cost accounting.

5. Team working.