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Admin, Finance & Tax Manager / Seoul
This job has expired or may no longer be taking applications, but other similar jobs are available.
Added: | 2020-09-23 |
Location: | Seoul |
Salary: | Competitive |
Duration: | Permanent |
Apjid | 3 |
ADMINISTRATION, FINANCE AND TAX MANAGER
DEPARTMENT: Administration, Tax and Finance
DIRECT SUPERIOR:
PROJECT DIRECTOR LOCATION: Seoul
MISSION:
To coordinate and control the company’s financial and economic management, in accordance with current legislation and the department’s guidelines, in order to support the director’s office as far as decision-making is concerned.
MAIN ACCOUNTABLITIES:
Monitor follow-ups, analyze deviations and coordinate information between departments.
Collaborate in the budget consolidation process, analyze deviations and coordinate the information between departments, provide the information needed to make financial projections for the business plan and monitor their tracking in order to support decision making.
Approve expenses and contracts in the Business Unit, analyze budget conformity and guarantee business rationality.
Take responsibility in the elaboration of analytical accounting.
Supervise the company’s financial condition.
Meet auditors and to elaborate the information which will be used as the basis for the monthly reporting document as regards the Group’s monitoring in order to guarantee that financial conditions give a true and fair view of the company.
REQUIRED ACADEMIC SKILLS:
University – Economics or finance degree
REQUIRED PROFESSIONAL EXPERIENCE:
5 – 7 years in financial roles in the energy or infrastructure sector.
Experience working in international environments.
REQUIRED KNOWLEDGE:
LANGUAGES: Complete fluency in English.
DEPARTMENT: Administration, Tax and Finance
DIRECT SUPERIOR:
PROJECT DIRECTOR LOCATION: Seoul
MISSION:
To coordinate and control the company’s financial and economic management, in accordance with current legislation and the department’s guidelines, in order to support the director’s office as far as decision-making is concerned.
MAIN ACCOUNTABLITIES:
- BUDGET AND CONTROL
Monitor follow-ups, analyze deviations and coordinate information between departments.
Collaborate in the budget consolidation process, analyze deviations and coordinate the information between departments, provide the information needed to make financial projections for the business plan and monitor their tracking in order to support decision making.
Approve expenses and contracts in the Business Unit, analyze budget conformity and guarantee business rationality.
- REPORTING
- ANALYTICAL AND FINANCIAL ACCOUNTING
Take responsibility in the elaboration of analytical accounting.
Supervise the company’s financial condition.
Meet auditors and to elaborate the information which will be used as the basis for the monthly reporting document as regards the Group’s monitoring in order to guarantee that financial conditions give a true and fair view of the company.
- FISCAL.
- TREASURY.
- INSURANCE - To collaborate in the management of the company’s insurance: offers, claims,
REQUIRED ACADEMIC SKILLS:
University – Economics or finance degree
REQUIRED PROFESSIONAL EXPERIENCE:
5 – 7 years in financial roles in the energy or infrastructure sector.
Experience working in international environments.
REQUIRED KNOWLEDGE:
- Planning &Control, Adm & Consol, and Financial knowledge.
- Multinational organizational knowledge.
- Leadership and strategy knowledge.
- Processes (Quality Management) and Information systems knowledge (SAP).
LANGUAGES: Complete fluency in English.
How to Apply
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