Sr Financial Analyst, DaS Finance-Ops&ProductDev
AmazonShenzhenUpdate time: August 28,2024
Job Description
This role manages the inventory warehouse transfer activities and financial impacts cross all device product lines. It includes month end close transfer in and out reconciliation, goods in transit accrual, aging GIT clean up. More importantly, this position is required to deep dive the business drivers and automate reconciliation process.
In addition, the person is responsible for Device outbound and Fulfillment center cost analysis and month end close review & bridges. This position will need to work with BIE and Fintech team to develop tools for scaling.

Key job responsibilities
Warehouse transfers involve moving inventory from one warehouse location to another within Amazon to balance stock levels, meet demand across different regions, or send items back to CM for rework. These transfers generally require adjusting the inventory records to reflect the movement of goods accurately. A warehouse finance job will cover the following tasks:
• Perform month-end close for warehouse transfer transactions, including reconciling shipping and receipt to ensure accurate recognition of goods in transit and P&L impact from inventory loss or found. Provide bridge commentary with business insights and follow through on improvement plans.
• Review warehouse transfer transactions to identify the business purpose and business partners for high-value movements. Collaborate with business partners to evaluate process and financial risks and drive improvements.
• Conduct audits for goods in transit balances to ensure that the financial booking value complies with the physical status and to clean out aged goods in transit transactions.
• Provide cross-functional financial reports to business partners and drive the review mechanism. In addition, this role will also be developing the automation plan for those reports and will work with BIE and Fintech team to develop tools for scaling.

FC and Outbound
• The role will support month end closing and Guidance for FC and Outbound. The person will support month-end closing and guidance by conducting more detailed analysis to identify the main drivers from operations.
• Provide financial reports to business partners and drive the review mechanism reduction opportunities. In addition, this role will also be developing the automation plan for those reports and will work with BIE and Fintech team to develop tools for scaling.

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