seasoned finance professional with deep expertise in financial management, tax compliance, and full-spectrum Hong Kong FRR regulatory reporting for licensed corporations.
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Location: Shenzhen, China/ HK
Email: eason0604@126.com
1.66 Degrees Expedition Cruises (Hong Kong) Co., Ltd.
(Joint venture by Guangdong Tourism Group, Guangdong Port & Shipping Group, and leading private enterprises; provides polar expedition services for Chinese travellers.)
(Sep 2024 – Present) – Deputy General Manager & Head of Finance (report to Chairman/CEO)
Accounting: Oversee daily bookkeeping and review financial statements for HK entity.
Board/Shareholder Relations: Communicate with directors; draft board and shareholder resolutions.
Internal Controls: Establish organisational structure, OA system, policies, and approval workflows.
Budgeting: Prepare and present annual budgets.
Tax & Subsidies: Liaise with tax bureaus, banks, auditors, and government authorities in and outside HK.
(Global financial services group; HK SFC licensed corporation (CE No. BJA907) for Type 1/4/6/9, HKEX participant; expanded to Singapore and New Zealand; ~400 staff; pre‑IPO for Nasdaq in 2024.)
(Jun 2021 – Aug 2024) – Group Senior Finance Manager (report to Group Finance Director)
Accounting & Reporting: Manage accounting for all domestic/overseas entities; prepare/review standalone and consolidated financial statements; oversee tax filings and statistical reports; handle tax matters across mainland China, HK, Singapore, Cayman, BVI; participate in VIE structuring.
Treasury & FRR Compliance: Coordinate group‑wide fund allocation; fully lead daily FRR management for HK licensed broker (Type 1/4/9) – including monthly/semi‑annual FRR filings, real‑time liquid capital monitoring, early‑warning indicator tracking, and SFC communication. Established cross‑border centralized treasury framework, manage multi‑currency liquidity, and optimize investment returns for overseas brokerages.
Internal Controls: Approve contracts, design/upgrade finance & business systems, review OA expenses, define budget codes, draft group accounting policies, and address cross‑departmental finance/tax queries.
Budgeting: Consolidate BU budgets, deliver monthly operating reports to CEO, analyse variance vs. budget and provide actionable recommendations.
Tax & Transfer Pricing: Manage inter‑company transactions and transfer pricing for dozens of affiliates; oversee government subsidy applications in mainland, HK, and Singapore.
Achievement: Assisted Finance Director in building the group’s accounting management system, budget tracking, staff role definition, and sustained policy enforcement.
(Leading B2B cross‑border trade service platform; 3,000+ employees; headquarters in Shenzhen, Hangzhou, Shanghai, HK, Singapore; 72+ overseas subsidiaries.)
(Jun 2020 – May 2021) – Group Finance Manager (report to Group VP / Finance Director)
Treasury & Tax: Manage fund allocation and collection for 86 subsidiaries across Shenzhen, Hangzhou, HK, and Japan; optimise idle cash investment; set up FTN cross‑border fund pools; implement tax planning for unvouchered expenses, executive tax savings, VAT and corporate income tax.
Accounting: Supervise AR/AP/inventory teams’ monthly reconciliation; review BU standalone and consolidated financial statements.
Equity Financing: Support fundraising activities; engage with VCs and RMB/USD funds (including Shanghai Zhongyuan, Guangzhou Changtai, Honghui, Jingwei, Zhuhai Yinshan); successfully completed Series C1 and C2 rounds of US$200M and US$600M respectively.
Achievement: Helped Finance Director secure ~US$800M in Series C funding; built strong post‑investment communication; resolved working capital shortages at minimal cost.
(Large supply chain group with 10+ subsidiaries, 50 operation centres, 500,000m²+ warehousing, 1,500+ employees; covers warehousing, cross‑border logistics, logistics tech, supply chain finance.)
(Jun 2016 – Sep 2019) – Group Finance Manager (report to Group CFO)
Working Capital: Coordinate departmental fund needs, schedule AR/AP payments, maximise returns on surplus cash.
Accounting & Policies: Prepare standalone/consolidated financials, handle monthly tax filings, review expenses, draft reimbursement/travel/payment policies, and train new finance staff.
Corporate Financing: Manage commercial loans (unsecured), onshore‑offshore guarantees (external/internal), supply chain factoring, and other debt financing.
(Oct 2012 – May 2016) – Deputy Manager, Treasury Department
Accounting: Handle fund pool bookkeeping and transaction settlements, control settlement risks; prepare P&L, balance sheet, cash flow, and other management reports.
Operations: Coordinate internal cross‑departmental projects; liaise with regulators (CSRC, CBRC, PBOC), accounting firms, law firms, banks, and vendors.
Platform Setup: Built settlement systems connecting the exchange with 12 banks and 7 third‑party payment providers; participated in system design to integrate finance and business data efficiently.
Education: Asia Pacific University of Technology & Innovation (Malaysia) – Bachelor in Accounting & Finance (Jan 2009 – Jun 2012)