Finance Manager
At Tencent Finance, we are deeply committed to fostering the professional growth of our staff through tailored finance training, mentorship programs, job rotation initiatives, and support for finance professional certifications. Recognized as an approved employer by esteemed organizations like ACCA, HKICPA, CIMA, CPA Australia, and CA, and certified accredited trainer with the Singapore Accountancy Commission, we provide comprehensive resources and guidance to ensure our employees remain at the forefront of the rapidly evolving finance landscape. Whether you're a recent graduate or an experienced hire, we empower you to acquire and maintain professional qualifications, enhancing your credibility and competence in the finance domain while keeping you competitive in the ever-changing industry.
Tencent Overseas Finance Center is a comprehensive financial management team that serves the globalisation strategy of Tencent. It aims to build a global financial infrastructure to help businesses successfully expand internationally and operate in compliance. In gist, the role serves as a key link between the European entities and headquarter, serves as a key financial manager ensuring the integrity, compliance, and strategic financial health of our European operations. This role is critical in building a scalable finance foundation to support our ambitious growth across the region with a comprehensive responsibility which includes but not limited to, Entity financial compliance and cash flow management. Financial planning and analysis. Finance process support and optimization.
As a Corporate Controller and a key team member of Tencent Overseas Finance Center, he/she should possess good knowledge of local compliance and common practices, and to be a quick learner as the business expands its footprint to different countries.
- Liaising with auditors and external regulatory bodies and internal accounting, tax, and other functional teams to assess financial risks, create action plans to improve daily management.
- Monitoring European entities’ cash flow, working capital and liquidity.
- Combining different business and investment’s planning into European company’s cash flow planning.
- Budget management in areas such as office operations.
- Conducting specialized analysis in new office site selection and office site control.
- Identifying the process optimization opportunities.
- Collecting suggestions from local offices to drive necessary process and policy localizations.
- Degree in Accountancy / Finance; Professional Chartered Accountant membership would be highly advantageous.
- 8+ years of progressive finance experience, including in a multi-country European environment
- Proven experience in managing external audits and ensuring statutory compliance
- Excellent knowledge of European tax and finance compliance.
- Excellent communication and stakeholder management skills, with the ability to work effectively with global teams.
- A proactive, hands-on mindset suited to a dynamic environment
- Experience in the Technology/Internet industry (Advantageous).
- Proficiency in Mandarin to facilitate communication with headquarters (Advantageous).



