About the role
Manage local financial staff of overseas branches based on their actual conditions. Oversee fund management of overseas branches, and review and process operational expense disbursements. Take charge of inventory management, coordinate with warehouses for monthly stocktaking, and manage fixed assets and archives. Review accounting statements, tax matters, and annual audits of branches in compliance with local laws and regulations of the host country. Liaise with local tax bureaus and banks to handle related affairs.
