- Support China group of companies on inventory costing support and coordination,
Reconcile purchase order receipt with supporting documents
Perform account reconciliations for costing & inventory related GL accounts
Analysis of costing variance with operation team
Regular transfer price maintenance and management
Perform month end material ledger close
- Handle queries on cost-related matters,
Support Sales in product cost forecast, RFQ, FTA & etc.
Support annual audit for inventory & costing matters
Reconcile unresolved stock issues ensuring that appropriate adjusting entries are completed
Develop and document stock control processes for China
- Book to Physical inventory reconciliations
- Lead monthly discussion with Operations to review variance, post inventory adjustment & prepare reconciliation reports
- Month end closing and reconciliation
- Financial analysis and management reporting
Prepare required monthly, quarterly, and yearly reports for both internal and external parties
Prepare period-to-period comparisons and trend reports for P&L items, research unusual change and review data for completeness and accuracy,
- In-country Business Plan support and coordination, working closely with cost center owners in Ningbo
- Coordinate and assist the annual financial audits and annual inspection
- Participate and/or lead projects affecting the Finance department (or other business units) as directed by Oronite China Finance Manager.
- Any other tasks as assigned by supervisor