รายละเอียดงาน- Financial Compliance: Ensure strict adherence to all relevant financial regulations, accounting standards, and internal company policies.
- Financial Reporting: Manage the full accounting cycle, including the preparation and delivery of accurate and timely monthly, quarterly, and annual financial and management reports.
- Budgeting and Forecasting: Lead the development and execution of the annual budget, as well as regular financial forecasts, providing insightful analysis and recommendations.
- Cash Flow Management: Oversee and manage cash flow and liquidity to ensure operational efficiency, including strategic management of forex hedging for foreign currency needs.
- Financial Analysis: Conduct comprehensive financial analyses to support strategic decision-making, including variance analysis, profitability analysis, and investment evaluations.
- Cost Control: Implement and monitor cost control measures to enhance profitability and drive operational efficiency.
- Auditing and Banking: Serve as the primary point of contact for external auditors, ensuring smooth audit processes. Liaise with banks on banking facilities, including loan agreements and other financial services.
- Team Leadership: Supervise, mentor, and develop the finance staff, fostering a high-performance team environment.
- Process Improvement: Drive continuous process improvement through streamlining workflows, implementing automation, and leveraging technology to enhance efficiency and accuracy.
***Please note that we consider only English resume, thank you, krub.