Finance Director

Moët Hennessy

Ver: 121

Día de actualización: 05-11-2024

Ubicación: Taipei City

Categoría: Finanzas / Banco / Acciones Ventas

Industria: Beverage Manufacturing

Posición: Director

Tipo de empleo: Full-time

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Contenido de trabajo

Moët Hennessy aims at making our commercial organization agile and efficient to deliver on our promises to shaping change, cultural and operational transformation. Our vision is to lead the future of luxury wines and spirits from nature to communities. Our company success will be created by pioneering people with passion for crafting experiences and turning challenges into opportunities to innovate.

Moët Hennessy Taiwan (MHT) is looking for a Finance Director, who will be responsible for providing overall leadership and strategic direction to the Finance function. The position will oversee the FP&A, Supply Chain function to ensure all of them are meeting the Company’s objectives and will strongly collaborate with the Regional Center of Excellence on accounting, tax and internal control matters. Acting as an operational and strategic business partner to all functions, he/she will be critical in supporting Moët Hennessy’s growth in Taiwan, helping to move the business towards more digitalized and automated processes.
  • Be a key contributor to and play an active role in the MHT Executive Committee/ Leadership team
  • Play a key role in driving company strategy consistent with Moët Hennessy goals, delivering excellence across the organization, whilst strengthening organizational performance
  • Be an organizational change agent, develop a true business partnering mindset within the Finance & Operations team, whilst leading, inspiring, and motivating the team to deliver excellence
  • Serve as the primary Finance and Operations strategic advisor to the Managing Director of Taiwan and Managing Director of North Asia
  • Lead the Finance Function to meet the company’s business objectives in compliance with regulations and accounting principles
  • Manage working capital by establishing and monitoring Credit Control and Cash Flow guidelines and procedures to safeguard Company’s financial well-being in in the short and long-term.
  • Work closely with Regional Center of Excellence team to ensure smooth day-to-day Finance operations, tax and treasury matters.
  • Lead the development and implement policies & procedures aimed at strengthening internal controls, risk management, and compliance with Internal Audit recommendations
  • Lead FP&A and Supply Chain Team  
  • Manage company budget controls, effectively establish the procedures for the budgeting process with internal functional teams.
  • Ensure effective execution of business planning functions
  • Strengthen the demand planning function for effective sales and inventory forecasting process/ tools.
  • Ensure regular monthly KPI meeting with 3PL for effective warehouse and delivery management
  • Review Customer Services and ensure efficient and effective execution

Requirements
  • Possess a strong track record of operating in a finance leadership role, in an end-to-end capacity
  • Experienced working in a multicultural environment and adept at communicating and influencing within a complex and matrixed operation
  • A trusted business partner having strong commercial acumen
  • Strong financial & management accounting experiences including accounting and control, treasury, internal audit, tax, budgeting, capital structuring and financial modelling
  • A change agent to lead continuous improvements in processes, strengthen team’s agility and capability
  • Strong capability of building trusted business relationships
  • Strong emphasis on compliance, integrity and team collaboration
  • Agile, inspiring, customer-focused, entrepreneurial
  • Fluent in English with proficiency of other language(s) will be an advantage
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Plazo: 20-12-2024

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