Why Work at Lenovo
Description and Requirements
Job Responsibilities:
Business Strategy & Incubation
Formulate and execute financial strategies to accelerate hybrid cloud service growth
Collaborate with cross-departmental teams to evaluate and implement innovative business models
Financial Infrastructure Development
Design robust financial control systems ensuring operational compliance and efficiency
Implement continuous process improvements for enhanced fiscal governance
Investment Management & Performance Monitoring
Conduct comprehensive analysis of new product investments against strategic objectives
Establish real-time performance tracking mechanisms with actionable insights
Comprehensive P&L Stewardship
Oversee complete financial operations including revenue streams and cost structures
Implement performance optimization strategies through detailed margin analysis
Strategic Financial Planning
Develop dynamic forecasting models and budget frameworks
Prepare executive-level reports with data-driven business recommendations
Cross-functional Collaboration
Act as financial consultant to technical and operational teams
Translate complex financial concepts for diverse stakeholder groups
Risk Mitigation Planning
Develop proactive risk assessment frameworks for cloud operations
Create contingency plans for financial scenario planning
Job Requirements:
Proven experience (5+ years) in financial business partnering within technology sectors
Demonstrated success in cloud/SaaS financial management and business model development
Expertise in financial modeling with advanced Excel/ERP system capabilities
Strategic problem-solving skills with commercial acumen in tech environments
Strong communication skills for cross-cultural stakeholder engagement
Professional certification (CPA/CMA/CIMA preferred)
Bachelor's degree in Finance/Economics with MBA considered advantageous