Mô tả công việc
1. Financial Control & Cash Flow
Track cash inflows and outflows across:
Imports
Operating expenses
Marketing and logistics
Maintain cash flow visibility and early warning on risks
Support short-term and medium-term cash planning
Build and maintain a clear and structured financial data system (cash flow tracking, cost tracking, reporting structure)
You are expected to personally build, maintain, and interpret financial data.
This role requires hands-on work with numbers, not delegation to external accountants.
2. Management Reporting
Prepare and update:
P&L
Cash Flow reports
Cost breakdowns (by product, shipment, activity)
Build clear, decision-oriented reports for management
Explain numbers, not just produce them. Translate financial data into clear business insights and recommendations.
3. Import, VAT & Cost Monitoring
Monitor and analyze:
Import costs (goods, freight, customs)
VAT (input/output, payable/receivable)
Ensure correct classification of costs and taxes and take ownership of VAT logic and ensure correctness of input/output VAT, including independent validation of calculations provided by external accountants.
4. Coordination with Outsourced Accountants (Supervision & Control Function)
Actively review and challenge reports prepared by external firms
Independently verify key figures (VAT, expenses, tax assumptions)
Identify inconsistencies and proactively resolve them
Ensure full understanding of all numbers before they are used internally
External accountants are a support function. You are expected to take full ownership of financial understanding and must not rely on them as a substitute for internal financial control. You will act as quality control layer, not just a messenger.
5. Business & Pricing Support
Provide financial input for:
Pricing decisions
Margin analysis
Scenario comparisons (MOQ, shipping options, volumes)
Support management in understanding:
Break-even
Profitability drivers
Cost sensitivity
Yêu cầu
5+ years of accounting experience
Ability to work in a fast-paced startup environment with changing priorities
Background in:
Trading / import-export / distribution (strongly preferred)
E-commerce
Experience with multi-SKU consumer products (FMCG, beauty, wellness, etc.) is a plus
Financial accuracy and reliability of reports are critical - errors or lack of clarity in financial data are considered a serious issue in this role.
Strong skills in:
Cash flow management
P&L analysis
Ability to work and to build financial models and reports independently (Excel / Google Sheets required)
Strong analytical thinking and ability to work with incomplete data
Proven experience in cash flow planning and management reporting (not only accounting)
Good English:
Fluent reading, writing, and speaking
Business mindset:
Understands how numbers affect decisions
Comfortable working with founders
P.S. When applying, please briefly describe how you would approach building a basic cash flow tracking system from scratch.
Quyền lợi
Part-time: 2 days per week
Remote
Flexible working hours
Compensation: VND 10-12 million gross / month (part-time)
Thông tin khác
Thời gian làm việc
Location: Vietnam (Remote)
Format: Part-time (-2 days per week)
Thông tin chung
Nơi làm việc
- - Hồ Chí Minh: (Tất cả phường)
- - Hà Nội: (Tất cả phường)