1. To coordinate to provide financial data for daily request/monthly closing/forecast/budget, etc. on a timely and accurate basis. 2. To support on ‘Everest Project’ for financial assistance 3. To support to perform monthly income statement/balance sheet/cash flow analysis (Sales/BOM%/Operation costs/service fee/AR/AP/Overdue/Inventory, etc.) 4. To act as a financial driver of the business and push continious performance improvements 5. To manage daily miscellaneous work and special assignments as requested 6. To assist the team in intercompany transaction flows and TP management 7. To support and supervise SAP upgrade/go-live for Weimar/Everest Project 8. Other ad-hoc work as needed