-Governance of implementation of superior Controlling standards and policies, ensures proper analysis of business performance data, and coordinates budget planning processes and forecasting, for all assigned business.
-Responsible for all business financial, controlling and reporting matters in the Country.
ensures financial reporting integrity/transparency, effective risk management and internal control .
-Supports day-today business activities and collaborates with the business lead to achieve the performance targets .
-in charge of budget planning processes, prepares and consolidates budget planning and derives respective forecasts.
-Supports efficient planning and performance controlling functions in the Country (sales & service)
-Analyses regularly relevant Key Performance indicators, and provides reports, comments and recommendation.
-Identifies process improvement potentials in Financial and business processes, and proposes remediation or new projects implementation.
-in charge of expense controlling (e.g. transparency, productivity) and asset management (inventory, A/R) . Cost and cashflow planning (including timely billing and collection) and controlling to ensure correct reflection in the results
- implement and coordinate Project review and reporting to ensure projects are reviewed and appropriate action taken to reach the targets.
- Bachelor’s degree preferably in Business / Finance
- Possess min. 5 years of experience in Operations/Treasury/Finance.
- Excellent English language skills.
Organization: Siemens Energy
Company: Siemens Spa
Experience Level: Experienced Professional
Job Type: Full-time