Chemical Research and Development
Formulation Chemistry
Product Development
Analytical Chemistry
Cosmetic Science
Quality Control
Laboratory Techniques
Material Science
Focus on supporting and coordinating marketing projects (e.g., roadshows, exhibitions, advertisements, customer days, etc.), in collaboration with the Industry Head and Specialist and the Digital Marketing team.
Collaborate on content development (visuals, copywriting, activities, and collaterals) by aligning requirements from Industry Heads and Specialist, while partnering with the Digital Marketing team to ensure consistent execution across all platforms and materials.
Governance on marketing expenses and assist in managing the marketing budget, ensuring all costs incurred are properly tracked down and claimed from Caterpillar (principal).
...
GCC scope identification and structuring: For each qualified opportunity, we analyze and identify which scopes or deliverables are suitable for GCC execution. Typically, these include non-customer-facing engineering work above established thresholds of project size/hours or equivalent criteria.
Coordination & Communication: Involves being the primary bridge. This bridge connects the subregional proposal owner and the regional pursuit team, which consists of App cons, Proo cons, Sales.
Estimation orchestration and validation: For GCC portion of scope, coordinate the preparation of detailed cost and effort estimates by the GCC proposal team, providing them with necessary scope details and context. Review and validate the completeness and realism of the GCC team's estimate and assumptions, ensuring they align with the customer expectations and overall solution design. Resolve discrepancies, such as duplicate or omitted tasks, between Regional and GCC estimation.
...
GCC scope identification and structuring: For each qualified opportunity, we analyze and identify which scopes or deliverables are suitable for GCC execution. Typically, these include non-customer-facing engineering work above established thresholds of project size/hours or equivalent criteria.
Coordination & Communication: Involves being the primary bridge. This bridge connects the subregional proposal owner and the regional pursuit team, which consists of App cons, Proo cons, Sales.
Estimation orchestration and validation: For GCC portion of scope, coordinate the preparation of detailed cost and effort estimates by the GCC proposal team, providing them with necessary scope details and context. Review and validate the completeness and realism of the GCC team's estimate and assumptions, ensuring they align with the customer expectations and overall solution design. Resolve discrepancies, such as duplicate or omitted tasks, between Regional and GCC estimation.
...
Accounting: Carry out the day-to-day Finance bookkeeping and accounting responsibilities in AP, AR and GL such as AP, AR data entries processing, credit management, vendor management & employee expenses payment processing, collection, bank reconciliation, GL & Fixed Assets management with journals preparation, reconciliations, adjustments and others.
Intercompany Transactions: Manage and reconcile intercompany transactions across various entities.
Financial Reporting: Support in preparing and maintaining monthly management accounts, financial statements, financial related reports and forecast updating via SAP system, uploading financial data into organization’s accounting systems
...
Accounting: Carry out the day-to-day Finance bookkeeping and accounting responsibilities in AP, AR and GL such as AP, AR data entries processing, credit management, vendor management & employee expenses payment processing, collection, bank reconciliation, GL & Fixed Assets management with journals preparation, reconciliations, adjustments and others.
Intercompany Transactions: Manage and reconcile intercompany transactions across various entities.
Financial Reporting: Support in preparing and maintaining monthly management accounts, financial statements, financial related reports and forecast updating via SAP system, uploading financial data into organization’s accounting systems
...
Ensure requirements are assessed in the global context and translated into scalable, reusable and adoption-ready analytics solutions
Continuously optimize existing analytics products together with product owners, key accounts and business users based on usage, feedback and business value
Develop, implement and maintain scalable Power BI reports and semantic models that follow global processes and blueprints
...
Accounting: Carry out the day-to-day Finance bookkeeping and accounting responsibilities in AP, AR and GL such as AP, AR data entries processing, credit management, vendor management & employee expenses payment processing, collection, bank reconciliation, GL & Fixed Assets management with journals preparation, reconciliations, adjustments and others.
Intercompany Transactions: Manage and reconcile intercompany transactions across various entities.
Financial Reporting: Support in preparing and maintaining monthly management accounts, financial statements, financial related reports and forecast updating via SAP system, uploading financial data into organization’s accounting systems
...
Accounting: Carry out the day-to-day Finance bookkeeping and accounting responsibilities in AP, AR and GL such as AP, AR data entries processing, credit management, vendor management & employee expenses payment processing, collection, bank reconciliation, GL & Fixed Assets management with journals preparation, reconciliations, adjustments and others.
Intercompany Transactions: Manage and reconcile intercompany transactions across various entities.
Financial Reporting: Support in preparing and maintaining monthly management accounts, financial statements, financial related reports and forecast updating via SAP system, uploading financial data into organization’s accounting systems
...
Accounting: Carry out the day-to-day Finance bookkeeping and accounting responsibilities in AP, AR and GL such as AP, AR data entries processing, credit management, vendor management & employee expenses payment processing, collection, bank reconciliation, GL & Fixed Assets management with journals preparation, reconciliations, adjustments and others.
Intercompany Transactions: Manage and reconcile intercompany transactions across various entities.
Financial Reporting: Support in preparing and maintaining monthly management accounts, financial statements, financial related reports and forecast updating via SAP system, uploading financial data into organization’s accounting systems
...