Responsibility： • Partner with the GM to work on 3 year strategic business plan and annual budget; Prepare financial modelling to support annual budget and relevant presentation for senior management team and/or Board approvals • Ensure timely preparation and submission of monthly financial reports, forecasts and budgets to regional HQ; • Manage the company cash flow, work on account receivables / payables to ensure a good cash flow performance; • Ensure that all statutory compliances related to Registrar of Companies / Tax (VAT/CST) Authorities / Import Export Authority / Department of Weights and Measures/Customs are up to date and being followed; • Management, development and training of Finance Team. Foster team work and provide excellent internal and external customer service. Requirement： • 8 years financial experience in MNC environment with solid experience in monthly reporting, forecasting and budgeting, JV experience preferred. management role • Good Financial and Business Acumen. • Be able to work as a partner to the GM. • CPA (local/international). • System experience - Oracle, SAP, Dynamics AX preferred but not essential. • Mechanical manufacturing industry background preferred. • Able to work under pressure and tight deadline. • Can do attitude • Fast and Quick learner. • Good command of level in English, Mandarin.