Job Responsibilities
1. Use Excel to consolidate and analyze financial data from all regions globally, ensuring data accuracy and consistency;
2. Create standardized data templates and optimize data aggregation processes (e.g., VLOOKUP, pivot tables, etc.);
3. Create visual reports (PowerPoint) based on financial data to assist in quarterly/monthly reporting;
4. Collaborate with financial teams in all regions to address data requirements.
Job Requirements
1. Bachelor's degree or higher, preferably in finance, economics, or statistics;
2. At least 3 days of on-site work per week, for a minimum of 3 months;
3. Advanced Excel skills (PivotTables, VLOOKUP, Power Query, etc.);
4. PowerPoint presentation creation skills, capable of independently producing professional business presentations;
5. Good written English.
岗位职责
1. 使用Excel整合与分析全球各区域财务数据,确保数据准确性与一致性;
2. 制作标准化数据模板,优化数据汇总流程(如VLOOKUP、数据透视表等);
3. 基于财务数据制作可视化报告(PowerPoint),协助完成季度/月度汇报;
4. 与各区域财务团队协作,对接数据需求。
岗位要求
1. 本科及以上学历,财务/经济/统计相关专业优先;
2. 每周至少3天线下办公,持续至少3个月以上;
3. Excel高阶技能(数据透视表、VLOOKUP、Power Query等);
4. PPT制作能力,能独立完成专业商业演示文稿;
5. 英语书面能力良好。