主要工作職/Main Responsibilities:
-成本管理,負責每月產品成本核算、匯總、分配;相關成本資料的整理、歸檔;
- Cost Management: accounting of manufacturing costs on a monthly basis; preparation of cost summary reports; conductcost-allocation analysis per cost center; sorting and filing of invoices and other supporting financial documents;
-參與存貨期末盤點,做到賬實相符;
-Participate in physical inventory taking at the end of each fi scal quarter; ensu re that the account matches the act ual inventory;
-每月對原料采購價格進行跟蹤分析,對變化較大的延伸關注;
- Monthly tracking and analysis of raw material purchase price, focusing on the extension of large changes;
-完成成本分析,成本測算,為管理層提供決策依據;
-Carry out cost analysis and prepare cost estimations for the purpose of providing the corporate management with a detailed basisfor business decision making processes;
-負責有關質量成本報表的編制及復核工作,發現成本方面的異常情況及時向上級主管匯報;
知識和技能 Specific Knowledge & Skills:
-語言/Language: 英語/English
-計算機/Computer: 熟練使用 proficient in using MS Office
個性特質與能力要求/Personality & Competencies:
-責任心強 strong sense of responsibility;
-良好的分析能力 good analytical skills;
-能承受較大工作壓力 ability to cope with stress and working pressure;
-會計專業 majored in accounting,
-具有制造業成本核算相關知識和豐富的實踐經驗 with manufacturing cost accounting related knowledge and rich practical experience.
-有汽車行業經驗者優先 automotive industry experience is preferred
-Responsible for the preparation and review of the quality cost analysis reports in accordance with the requirements of the QualityManagement System, and report the abnormal cost to the supervisor in time;
-負責給相關部門進行成本報價,保證成本核價準確性;
-Responsible for the cost quotation to the relevant department, ensure the accuracy of the cost quotation;
-負責公司固定資產的登記、核算、管理工作,計提折舊費用;
- Responsible for the fixed asset registration, conduct corporate fixed asset accounting; fixed assets management; depreciation,amortization and write-offs of fixed assets;
-進行年終決算, 保證財務數據真實、清晰、準確,
- Conduc t the accounting settlement at the end of each year; ensu re that financial data are presented in a true, complete andaccurate way;
-參與配合年度審計工作,年度納稅調整等工作;
-Participate in audits and assist auditors during annual fi scal audits; provide assistance in the course of annual tax adjustments;