Sr. Finance Analyst
Why Work at Lenovo
We are Lenovo. We do what we say. We own what we do. We WOW our customers.
Lenovo is a US$83 billion revenue global technology powerhouse, ranked #153 in the Fortune Global 500, and serving millions of customers every day in 180 markets. Focused on a bold vision to deliver Smarter Technology for All, Lenovo has built on its success as the world’s largest PC company with a full-stack portfolio of AI-enabled, AI-ready, and AI-optimized devices (PCs, workstations, smartphones, tablets), infrastructure (server, storage, edge, high performance computing and software defined infrastructure), software, solutions, and services. Lenovo’s continued investment in world-changing innovation is building a more equitable, trustworthy, and smarter future for everyone, everywhere. Lenovo is listed on the Hong Kong stock exchange under Lenovo Group Limited (HKSE: 992) (ADR: LNVGY).
This transformation together with Lenovo’s world-changing innovation is building a more inclusive, trustworthy, and smarter future for everyone, everywhere. To find out more visit www.lenovo.com, and read about the latest news via our StoryHub.
Description and Requirements
Key Responsibilities
- Support core financial planning processes, including budgeting, forecasting, and management reporting.
- Develop and deliver executive-level presentations that communicate financial insights and strategic recommendations.
- Build, maintain, and enhance financial models, projections, and analytical tools to support decision-making.
- Analyze complex business issues, synthesize financial inputs, and influence planning, accounting, and treasury strategies.
- Oversee management reporting, including pre-close analysis, variance explanations, and performance commentary.
- Conduct in-depth financial analyses for senior leadership and provide actionable recommendations.
- Independently design and execute recurring and ad hoc financial investigations with minimal supervision.
- Drive finance transformation and process reengineering initiatives, focusing on business workflows, financial systems, and internal controls—such as evaluating process improvements and risk mitigation strategies.
Qualifications & Experience
- Bachelor's degree in Finance, Accounting, Business Administration, Economics, or a related field; MBA or relevant professional certification (e.g., CPA, CFA) preferred.
- 5+ years of experience in financial planning & analysis (FP&A), corporate finance, management reporting, or similar analytical roles.
- Proven experience supporting budgeting, forecasting, and financial modelling processes.
- Prior experience working with senior leadership and preparing executive-level presentations.

