招聘简章
一、公司简介
辉瑞制药有限公司成立于1849年,是全球排名第一的普药和特效药公司,业务遍布全球150个国家。辉瑞1989年进入中国,2009年并购惠氏成为中国最大的研发型跨国生物制药,在华累计9000名员工,业务遍布全国200多个城市,
辉瑞亚太财务共享服务中心(GFS Asia)位于大连市高新园区软件园,是一个提供标准化和最优化会计处理流程的全球运营体系。辉瑞全球财务共享服务中心现有的机构包括:位于纽约的运营总部,位于田纳西州孟菲斯的美洲部,位于爱尔兰都柏林的欧洲部,和位于中国大连的亚洲部。2007年辉瑞亚太财务共享服务中心成立,成为位于大连的新的运营中心,将亚太地区各个国家辉瑞公司的会计流程处理业务集中在大连,使大连成为此项业务在亚太区的唯一平台。辉瑞亚太财务共享服务中心致力于提供增值的会计处理流程和系统来支持大范围的财务服务,其中包括:处理总账相关的会计业务、核对银行存款账户、固定资产的管理及会计处理业务、管理短期现金、处理员工费用报告的管理核销工作、核对损益账户、处理发票付款业务等。
二、招聘职位描述
招聘职位 | 招聘人数 | 专业要求 | 任职资格 | 工作职责 |
财务实习生 | 20 | 会计/财务管理相关专业 | 1. 2017年应届本科/硕士毕业生,有财务相关实习经验者优先考虑 2. 英语六级以上,口语听说读写流利;日英双语/韩英双语者优先考虑 3. 很强的学习能力,愿意致力于BPO/共享服务中心的业务模式 4. 能够保证一周至少4天的时间实习 5. 可熟练操作Microsoft软件 6. 有相关会计证书,ACCA/CPA优先考虑 | 1.学习应收、应付、总账等相关财务流程。 2. 为财务经理以及同事提供财务相关支持。 详情请见附件-2016辉瑞亚太财务共享中心职位简介
|
投递邮箱: *****(简历文件名:学校+专业+姓名)
网申地址:http://campus.51job.com/pfizer/
联系人:人力资源部
电话:0411—****
公司地址:大连市高新园区软件园23号楼
辉瑞亚太财务共享中心(GFS Asia)--大连
简历投递邮箱:**
关于辉瑞公司
辉瑞公司创建于1849年,迄今已有160多年的历史,总部位于美国纽约,是目前全球最大的以研发为基础的生物制药公司以及目前在中国最大的外资生物制药公司。辉瑞公司的产品覆盖了包括化学药物、生物制剂、疫苗、健康药物等诸多广泛而极具潜力的治疗及健康领域,同时其卓越的研发和生产能力处于全球领先地位。
u产品销售到175个国家/地区
u全球64个生产基地
u有10种产品的销售额超过10亿美元
u全球97,000余名员工
u在全球有200个研发合作机构
辉瑞亚太财务中心
辉瑞全球财务中心通过六大运营分支机构实现辉瑞财务共享服务,它们分别位于:
u总部:美国纽约
u北美洲:美国田纳西州孟菲斯
u拉丁美洲:哥斯达黎加圣何塞
u欧洲:爱尔兰都柏林、捷克斯洛伐克布拉格
u非洲:埃及开罗
u亚太区:中国大连 (建于2007年)
自2007年9月成功地实现了对辉瑞澳大利亚/新西兰市场的移管后, GFS大连先后实施了多个移管项目,包括辉瑞澳大利亚、新西兰、新加坡,日本,韩国,中国及香港地区。2014年5月,GFS大连迎来了一个重要的里程碑——辉瑞全球关联公司往来账款流程卓越中心(Intercompany CoE)在大连建立,这意味着GFS大连已经不仅仅服务于亚太市场,同时服务于全球150个国家/地区的关联公司往来账款业务,GFS美国、欧洲的业务已同步移管到大连。移管并运营了1年多后,往来帐款流程成功通过内部审计,现已平稳运营。
职位要求
应付账款-Invoice to Payment
ØUnderstand and strictly follow SOP, WI & RCM and make sure the process you are responsible for is accurate and within timeline.
ØCreate, modify and approve vendor maintenance work.
ØProfessionally handle Contact Center inquiries.
ØSupport to prepare standard and regular reports as required for the operation.
ØTimely report issue, problems and activity list status to team lead.
ØPerform month end closing activities and AP balance sheet reconciliation.
ØSmoothly communicate with end users and vendors.
ØSupport internal, external and tax audit for document retrieval.
ØDistribute and allocate expense reports against tracking list and package.
ØMaintain tracker to do reconciliation between hardcopy and raw data
ØDeliver package of expense reports to warehouse for archiving
应收账款-Order to Cash
Ø Collecting trade receivables, matching payments received and managing overdue payments
Ø Resolving customer financial queries
Ø Receiving and resolving discrepancies (bank, business, customer contact)
Ø Preparing and dispatching dunning letters if requested
Ø Providing support to AR Team Leader (Regional) and Regional AR Analyst for credit control activities as required.
Ø Month end processing and reporting requirements
Ø Continually assess and perfect procedures as work is migrated into GFSS - ASIA from the markets
Ø Ensure SLAs are met and service is delivered to end users as expected.
Ø Maintain and develop relationships with relevant markets serviced by team and all major customers within those markets as appropriate.
Ø Proactively identify, rectify and follow-up on opportunities for proves improvement while maintaining the quality and development of our accounts, systems, processes and databases
总账-Record to Report
Ø Prepare monthly journal entries ;
Ø Supporting month- end close activities and align deadline ;
Ø Reconcile accounts ;
Ø Assist supervisor to prepare and submit reports to New York Headquarters and markets and relevant governmental entities ;
Ø Review and interpret large volumes of statistical data ;
Ø Development of financial information by researching and analyzing accounting data to meet management requests;
Ø Review GL data for compliance with Pfizer corporate policies using independent judgment to assure adherence to the policy;
Ø Assist in the establishing of GL processes necessary for steady state operation;
.
公司内部往来账-Intercompany
Ø Reconcile intercompany out of balance accounts with global counterparties on monthly basis.
Ø Proactively follow up on aged out of balance items and submit RMS reconciliation.
Ø Handle exceptions in resolving queries and discrepancies with market, supply chain and counterparts.
Ø Assist in month end closing activities and make necessary journal entry adjustment.
Ø Prepare IC aged OOB analysis report and present to market on monthly dashboard review meeting
Ø Prepare ad-hoc reports as required for the operation
Ø Support internal/external audits when assigned by the team lead.
任职资格
Ø Bachelor’s degree majoring in Finance, Accounting, or other related field
Ø 2017 fresh graduates with related accounting or finance internship experiences preferred
Ø Good English or Japanese or Korean communication skills
Ø CPA or ACCA certificates preferred
Ø Excellent attention to detail and adapt to changing needs
Ø Excellent computer skills including Microsoft Products