Responsible for planning, supervising and controlling the operation of Finance, Accounting, Budgeting and Internal Audit in compliance with company policies / procedures and statutory authority as well as audit requirements
Manage the overall treasury functions including cash flows, credit and collection policies to ensure that Company funds or assets are effectively utilized or invested.
Support business processes and make recommendations for improvement, as well as support the business decisions from a financial perspective
Perform strategic coordination and negotiation on Financial&Accounting activities, including keep relationship with suppliers, bankers, Financial Institute and customers.