Job Responsibilities
Communicate and help complete monthly global cash flow forecast - three regions and five main countries
Coordinate with project planning team and summarize capital requirement each month
Assist in providing in-depth analyses of cash flow and capital spending movement
Attend monthly financial reviews with global management team
Best candidate requirements
First / Second year in master program of Finance, Corporate finance, Accounting and Business Administration
3 days each week for 3-6 months
Good comprehend of English; CET6 500+
Proficient in Excel and Power-point
Quick learning and adapting abilities
What you can gain in this position
Hands-on experience of corporate finance analysis
Multi-cultural working environment to practice English and communication skills
Exposure to a complete corporate finance team with access to high potential to future job placement
财务实习生 (营运现金流和项目投资分析)
工作职能
协助财务部门完成每月的全球营运现金流预测,包含三大洲的五个主要国家
协助项目管理和计划部门总结每月的项目投资总结和预测
协助完成现金流和项目投资的每月预测差异分析
参与每月全球业务管理层的讨论会议
候选人要求
商学院研究生一、二年级 财务管理,金融,会计或者商务管理方向
每周三天持续3-6个月
良好的英语听说读写能力;CET6 500+
熟练使用Excel 和PPT
具备快速学习和适应工作的能力
你可以学到什么
五百强公司财务分析一手经历
多文化工作环境,锻炼英语和沟通能力
与公司财务分析团队一同工作,有内部转岗转正机会
当前职位已下线
为你揭秘各职业的工作内容|薪资水平…
从事内部财务数据核算以及日常费用审核报销的人员。