Our client is a leading multinational company specializing in tobacco products, with a strong global presence and high standards in governance and compliance. The company is currently hiring aTax & Treasury Manager (7-month Contract), a key Finance role responsible for tax compliance, treasury operations, and internal control frameworks in line with group and local requirements.
Location: Binh Chanh Factory, Ho Chi Minh with shuttle bus
Working hour: 8AM - 4PM (1 WFH day/week)
Contract: 7 month (maternity cover).
KEY RESPONSIBILITIES
Provide advice to Operations sector of the Company business in matters of tax planning & management and compliance with the Vietnam tax laws/ internal control
Ensure all information & documentation are obtained & documented for inter/intra-company transactions to secure tax deductibility
Coordinator of Tax & Treasury Committee meetings
Deploy Treasury strategy and ensures consistency with the Group Guidelines
FX risk management based on expertise of underlying exposure, FX hedging products & pricing
Analyses long term and short term cash flow forecasts and FX requirements and make recommendations and opportunities to improve cash flow / liquidity management options for all legal entities
Drives cash flow forecast accuracy via working closely with all the relevant functions