Job responsibilities:
1. Optimize and maintain financial forecasting and analysis reports, effectively monitor and evaluate the group's business lines and key projects, prepare financial analysis reports regularly, objectively reflect the business situation, and provide constructive suggestions to management;
2. Set key financial indicators of different business lines, coordinate with different departments to prepare annual budget and monthly rolling forecasts, monitor and evaluate the implementation of budget;
3. Coordinate with oversea teams to help the oversea business to operate smoothly;
4. Support comprehensive financial optimization or management projects as needed with the group's business development.
Job requirements:
1. Bachelor degree or above in finance, more than 5 years of financial audit or related work experience;
2. Strong data analysis ability, able to independently complete the task of data collection and analysis, professional data analysis tools skills are preferred;
3. Good logical thinking, expression skills, good adaptability and pressure resistance, good learning skill;
4. Good team spirit, communication and coordination skills;
5. English can be used as a working language, can adapt to oversea business trips;
6. Experience in large Internet/financial companies, experience in cross-department projects within the company is preferred, CPA qualifications and Big Four accounting firms are preferred.