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  • Posted: Mar 21, 2025
    Deadline: Not specified
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    Guangzhou Automobile Group Co., Ltd (GAC MOTOR) is a Chinese automobile maker headquartered in Guangzhou in China. GAC MOTOR represents insisting on pursuing scientific development, enhancing the core competition, and achieving the sustainable development. Since its establishment, the Trumpchi has been technologically on par with other global brands and d...
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    Group Treasurer

    Job Summary:

    • We are seeking an experienced and highly skilled Group Treasurer to manage the company’s treasury operations, liquidity, and financial risk. The ideal candidate will have a strong background in treasury management, manufacturing, or investment banking with a proven track record in optimizing financial performance and mitigating risks.

    Key Responsibilities:

    • Manage cash flow, sufficient liquidity, forecasting future cash requirements and working capital to ensure financial stability.
    • Develop and implement treasury policies and risk management strategies.
    • Oversee foreign exchange, interest rates, and credit risk management.
    • Implement and manage strategies to mitigate foreign exchange, interest rate, and credit risks, ensuring the company’s financial stability.
    • Develop, implement, and monitor treasury policies, procedures, and controls to ensure efficient and compliant treasury operations.
    • Ensure compliance with financial regulations and reporting requirements to stakeholders.

    Requirements

    • Bachelor’s degree in Finance, Accounting, or a related field; a Master’s degree (MBA or equivalent) or professional certifications (ACA, ACCA, or CFA) is highly preferred.
    • Minimum of 10 years of experience in treasury management, manufacturing, or investment banking, with a demonstrated ability to manage complex financial operations.
    • Expertise in liquidity management, risk management, financial modelling and treasury operations.
    • Prior experience with top-tier financial investment firms.

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    Head of Audit, Tax, Risk & Compliance

    Job Summary:

    • We are seeking a highly skilled and experienced Head of Audit, Tax, Risk & Compliance to oversee internal audits, tax compliance, risk management, and governance. The ideal candidate will have a strong background in audit, tax, and risk management, with prior experience in the automotive or related sectors.

    Key Responsibilities:

    • Lead internal audits to evaluate the effectiveness of internal controls, processes, and risk management frameworks; recommend improvements, and ensure compliance with company policies and procedures.
    • Develop and implement tax strategies to optimize the company’s tax position, ensure the company complies with all tax regulations, including corporate income tax, VAT, excise duties, and other applicable taxes.
    • Monitor and ensure compliance with regulatory and legal requirements, including corporate governance standards and industry-specific regulations.
    • Manage relationships with external auditors and tax authorities.
    • Identify and mitigate financial and operational risks.
    • Provide strategic insights to senior leadership on audit tax, risk, and compliance matters to support informed decision-making.

    Requirements

    • Bachelor’s degree in Accounting, Finance, or related field; Master’s degree (MBA or equivalent) or professional certifications (ACA, ACCA, or CFA preferred).
    • Minimum of 10 years in audit, tax, and risk management, with a strong leadership background. Prior experience in the automotive retail, sales, or distribution industry is an advantage.
    • Expertise in risk management, tax compliance, financial audit reporting, and regulatory compliance.
    • Prior experience with top-tier audit firms is preferred.
    • Proficiency in financial software and ERP systems like Sage 300 and others.

    Benefits

    • Competitive Salary
    • 13th Month Allowance
    • Leave Allowance
    • Monthly Performance Bonus
    • Retirement Savings
    • Robust Medical Coverage
    • Daily Lunch
    • Employee Car Ownership Scheme
    • Learning & Development Budget
    • Group Life Insurance
    • Paid Time Off
    • Opportunity to work in a fast-paced and dynamic environment

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    Corporate Finance & Investment Relations

    Job Summary:

    • We are seeking a highly skilled and experienced Corporate Finance & Investor Relations Manager to join our dynamic team. The ideal candidate will possess a robust background in finance, investment banking, or manufacturing, with extensive expertise in financial modelling, risk management, and capital markets.

    Key Responsibilities:

    • Develop and maintain strong relationships with investors, analysts, and financial institutions to enhance the company’s financial profile and market reputation.
    • Prepare, analyze, and present comprehensive financial reports, forecasts, and investment proposals to stakeholders.
    • Manage capital raising initiatives, including debt and equity financing.
    • Monitor market trends and provide insights to inform strategic financial decisions.
    • Collaborate with senior leadership to align financial strategies with business objectives.
    • Ensure compliance with regulatory requirements and corporate governance standards.

    Requirements

    • Bachelor’s degree in Accounting, Finance, or a related field; a Master’s degree (MBA or equivalent) or professional certifications (ACA, ACCA, or CFA) is highly preferred.
    • Minimum of 10 years in corporate finance, investment banking, or related fields.
    • Advanced expertise in financial modelling, risk management, and capital markets.
    • Prior experience with top-tier financial investment firms is preferred.

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    Head of Financial Planning & Analysis (FP&A)

    Job Summary:

    • We are seeking a highly skilled and experienced Head of Financial Planning & Analysis (FP&A) to drive financial strategy, budgeting, and performance analysis. The ideal candidate will have a strong background in financial planning, manufacturing, or investment banking with a proven track record in driving data-driven decision-making and strategic financial initiatives.

    Key Responsibilities:

    • Lead the development of annual budgets and multi-year financial forecasts, ensuring alignment with the company’s strategic goals and objectives.
    • Monitor and analyze financial performance against budgets and forecasts, identifying variances and providing actionable insights to senior leadership.
    • Develop financial models to support strategic decision-making through data-driven analysis and scenario planning.
    • Monitor key financial metrics and identify areas for improvement across business units.
    • Collaborate with cross-functional teams to align financial plans with business goals.

    Requirements

    • Bachelor’s degree in Finance, Accounting, or a related field; a Master’s degree (MBA or equivalent) or professional certifications (ACA, ACCA, or CFA) is highly preferred.
    • Minimum of 10 years in financial planning, manufacturing, or investment banking.
    • Expertise in financial modelling, data analysis, scenario planning, and strategic financial management.
    • Prior experience with top-tier financial investment firms is preferred.

    Benefits

    • Competitive Salary
    • 13th Month Allowance
    • Leave Allowance
    • Monthly Performance Bonus
    • Retirement Savings
    • Robust Medical Coverage
    • Daily Lunch
    • Employee Car Ownership Scheme
    • Learning & Development Budget
    • Group Life Insurance
    • Paid Time Off
    • Opportunity to work in a fast-paced and dynamic environment

    Method of Application

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