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Key Responsibilities
• Develop and implement short-, medium- and long-term financial strategies; advise Management/BOD on capital structure, investment, M&A, dividend policy and fundraising.
• Lead annual budgeting, financial planning, budget control and variance analysis; recommend actions to improve capital efficiency.
• Manage cash flow, liquidity, borrowing/repayment plans and relationships with banks, credit institutions and investors.
• Oversee accounting operations, tax compliance, financial statements, management reports and compliance with VAS/IFRS and disclosure requirements.
• Analyze key financial indicators such as revenue, EBITDA, profit, ROA, ROE and cash flow; establish and monitor financial KPIs.
• Manage financial risks including foreign exchange, interest rate, liquidity, receivables and investment risks; strengthen financial internal controls.
• Present financial performance to the BOD/shareholders and coordinate with auditors, tax authorities and relevant external parties.
• Lead, coach and develop the Finance & Accounting team, including Accounting, Finance, Treasury and Internal Control functions.
Key Requirements
Job ID: 153773051