Deputy Manager - Finance
Hạn nộp hồ sơ: 27/09/2026 (Còn 17 ngày)
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Mô tả công việc
This role is under BASF Agricultural Solutions Vietnam Co., Ltd.
Objectives
• Oversee all accounting and tax-related operations to ensure full compliance with Vietnamese Accounting Standards (VAS), IFRS, local tax regulations, FDI policies, and BASF group policies and Corporate requirements.
• Ensure financial integrity and transparency through proper accounting, compliance reporting, and support for audits.
• Act as a key liaison with internal and external stakeholders (e.g. auditors, local authorities, BASF teams, and consultants)
• Execute Customer Credit Risk Management, Receivables, and Treasury operations in line with local regulations and BASF guidelines to support business needs. Provide technical and functional guidance on these areas to stakeholders.
Main Areas of Responsibilities and Key Activities
Compliance and Governance:
• Ensure timely and accurate recording of all financial transactions, ensure compliance with IFRS, VAS, tax regulations, and FDI requirements through up-to-date knowledge and liaison with authorities and advisors.
• Establish, document, and maintain internal accounting policies, procedures, and tax guidelines. Regularly communicate updates to relevant stakeholders.
• Monitor and implement changes in local GAAP and tax regulations to ensure compliance and operational readiness.
• Coordinate and prepare accurate and timely financial statements in compliance with local and group standards including Tax filings (VAT, CIT, FCT, etc.), CbCR (Country-by-Country Reporting), transfer pricing (local file) report, and Quarterly tax notes.
• Lead statutory and tax audits. Serve as the primary contact point for local tax authorities, tax advisors, and compliance consultants.
Operational excellence:
• Oversee day-to-day accounting operations to ensure transactional accuracy and alignment across systems.
• Support fixed assets management and impairment review. Coordinate physical verification of fixed assets.
• Coordinate with the auditors, supply chain and warehouse team to ensure an accurate and thorough observation of the annual physical stock count.
• Coordinate effectively with internal departments and Shared Service Centers to ensure smooth and timely execution of month-end, quarter-end, and year-end closing activities.
• Manage cash/liquidity position of the company and liaise with Regional Treasury team to ensure availability of funds
• Prepare and administer bank-related documentation (hedging, deposits, guarantees, facilities), and manage signatory rights and user access.
• Ensure full compliance with transfer pricing requirements, including managing the preparation of Transfer Price documentation in collaboration with external consultants.
• Play the role of Insurance gatekeeper (e.g.: Marine Cargo Insurance (MCI); Public and Products Liability Insurance (PPL); Property all risks and Business interruption Insurance (PDBI)).
• Perform contract review from local finance and tax perspectives.
• Lead enhancements to the local e-Invoice portal to ensure compliance with updated tax regulations.
• Play the role of expense processor and local key user of Non-Trade Portal and MDG (Customer).
• Support cross-functional projects, including finance transformation and digitalization initiatives.
Credit Management
• Oversee collection of all receivables for business teams, minimize DSO (Day Sales Outstanding), and performance indicators.
• Carry out credit risk evaluation, risk mitigation and annual credit review in line with sales strategies and local market practices.
• Perform business partnering with customer visits, financial consultancy, business, and customer trainings.
• Handle debt recovery with collection agent, lawyer, or court. Ensure relevant documents are maintained for effective debt validation and recovery.
• Handle provision for doubtful debts and write-off of bad debts with business teams.
• Assume local key user of SCO (Smart credit optimized), CARAT (Controlling Accounts Receivable Analysis Tools), and FSCM (Financial Supply Management) or other system as applicable.
Account Receivable
• Oversee end-to-end request/ transaction process together with Supply Chain, GB Hub and related stakeholders. Provide insight to resolve issues, inefficiencies, and queries.
• Oversee process of non-trade business (Customer).
• Oversee accounts receivable adjustments such as Rebate process, Goods return, Customer compensation.
Objectives
• Oversee all accounting and tax-related operations to ensure full compliance with Vietnamese Accounting Standards (VAS), IFRS, local tax regulations, FDI policies, and BASF group policies and Corporate requirements.
• Ensure financial integrity and transparency through proper accounting, compliance reporting, and support for audits.
• Act as a key liaison with internal and external stakeholders (e.g. auditors, local authorities, BASF teams, and consultants)
• Execute Customer Credit Risk Management, Receivables, and Treasury operations in line with local regulations and BASF guidelines to support business needs. Provide technical and functional guidance on these areas to stakeholders.
Main Areas of Responsibilities and Key Activities
Compliance and Governance:
• Ensure timely and accurate recording of all financial transactions, ensure compliance with IFRS, VAS, tax regulations, and FDI requirements through up-to-date knowledge and liaison with authorities and advisors.
• Establish, document, and maintain internal accounting policies, procedures, and tax guidelines. Regularly communicate updates to relevant stakeholders.
• Monitor and implement changes in local GAAP and tax regulations to ensure compliance and operational readiness.
• Coordinate and prepare accurate and timely financial statements in compliance with local and group standards including Tax filings (VAT, CIT, FCT, etc.), CbCR (Country-by-Country Reporting), transfer pricing (local file) report, and Quarterly tax notes.
• Lead statutory and tax audits. Serve as the primary contact point for local tax authorities, tax advisors, and compliance consultants.
Operational excellence:
• Oversee day-to-day accounting operations to ensure transactional accuracy and alignment across systems.
• Support fixed assets management and impairment review. Coordinate physical verification of fixed assets.
• Coordinate with the auditors, supply chain and warehouse team to ensure an accurate and thorough observation of the annual physical stock count.
• Coordinate effectively with internal departments and Shared Service Centers to ensure smooth and timely execution of month-end, quarter-end, and year-end closing activities.
• Manage cash/liquidity position of the company and liaise with Regional Treasury team to ensure availability of funds
• Prepare and administer bank-related documentation (hedging, deposits, guarantees, facilities), and manage signatory rights and user access.
• Ensure full compliance with transfer pricing requirements, including managing the preparation of Transfer Price documentation in collaboration with external consultants.
• Play the role of Insurance gatekeeper (e.g.: Marine Cargo Insurance (MCI); Public and Products Liability Insurance (PPL); Property all risks and Business interruption Insurance (PDBI)).
• Perform contract review from local finance and tax perspectives.
• Lead enhancements to the local e-Invoice portal to ensure compliance with updated tax regulations.
• Play the role of expense processor and local key user of Non-Trade Portal and MDG (Customer).
• Support cross-functional projects, including finance transformation and digitalization initiatives.
Credit Management
• Oversee collection of all receivables for business teams, minimize DSO (Day Sales Outstanding), and performance indicators.
• Carry out credit risk evaluation, risk mitigation and annual credit review in line with sales strategies and local market practices.
• Perform business partnering with customer visits, financial consultancy, business, and customer trainings.
• Handle debt recovery with collection agent, lawyer, or court. Ensure relevant documents are maintained for effective debt validation and recovery.
• Handle provision for doubtful debts and write-off of bad debts with business teams.
• Assume local key user of SCO (Smart credit optimized), CARAT (Controlling Accounts Receivable Analysis Tools), and FSCM (Financial Supply Management) or other system as applicable.
Account Receivable
• Oversee end-to-end request/ transaction process together with Supply Chain, GB Hub and related stakeholders. Provide insight to resolve issues, inefficiencies, and queries.
• Oversee process of non-trade business (Customer).
• Oversee accounts receivable adjustments such as Rebate process, Goods return, Customer compensation.
Yêu cầu
• Degree in Accounting / Finance or equivalent professional qualifications.
• Chief Accountant certificate
• 7 years of relevant working experience in MNCs with international manufacturing and trading operations, preferably with a finance-shared service center environment.
• Experience in business partnering or financial planning and analysis roles are preferred.
• In-depth knowledge of local accounting practices, the Vietnamese Accounting Standards and System, Vietnamese tax regulations, and related statutory requirements.
• Knowledge of relevant international financial and reporting standards.
• Hands-on knowledge of SAP or other International ERP systems is advantageous. E.G Oracle
• Good command of English and Excel skills.
• Chief Accountant certificate
• 7 years of relevant working experience in MNCs with international manufacturing and trading operations, preferably with a finance-shared service center environment.
• Experience in business partnering or financial planning and analysis roles are preferred.
• In-depth knowledge of local accounting practices, the Vietnamese Accounting Standards and System, Vietnamese tax regulations, and related statutory requirements.
• Knowledge of relevant international financial and reporting standards.
• Hands-on knowledge of SAP or other International ERP systems is advantageous. E.G Oracle
• Good command of English and Excel skills.
Quyền lợi
Đào tạo
Opportunities for learning and development in a professional and dynamic working environment
Opportunities for learning and development in a professional and dynamic working environment
Thông tin khác
NGÀY ĐĂNG
28/08/2026
CẤP BẬC
Trưởng phòng
NGÀNH NGHỀ
Kế Toán/Kiểm Toán > Kế Toán Tài Chính
KỸ NĂNG
Tài Chính Kế Toán, Báo Cáo Tài Chính, Chief Accountant Certificate, Erp System, Financial & Accounting Knowledge
LĨNH VỰC
Hoá chất/Hoá sinh
NGÔN NGỮ TRÌNH BÀY HỒ SƠ
Bất kỳ
SỐ NĂM KINH NGHIỆM TỐI THIỂU
7
QUỐC TỊCH
Không hiển thị
Xem thêm
28/08/2026
CẤP BẬC
Trưởng phòng
NGÀNH NGHỀ
Kế Toán/Kiểm Toán > Kế Toán Tài Chính
KỸ NĂNG
Tài Chính Kế Toán, Báo Cáo Tài Chính, Chief Accountant Certificate, Erp System, Financial & Accounting Knowledge
LĨNH VỰC
Hoá chất/Hoá sinh
NGÔN NGỮ TRÌNH BÀY HỒ SƠ
Bất kỳ
SỐ NĂM KINH NGHIỆM TỐI THIỂU
7
QUỐC TỊCH
Không hiển thị
Xem thêm
Thông tin chung
- Thu nhập: Thương lượng
Nơi làm việc
- Level 23, Deutsches Haus, 33 Le Duan Street, Sai Gon Ward, HCMC
Việc làm tương tự khác
CÔNG TY TNHH TIẾP VẬN VẬN TẢI QUỐC TẾ VÕ LƯƠNG
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15 - 20 triệu VND
CÔNG TY CỔ PHẦN VINHOMES - TẬP ĐOÀN VINGROUP
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25-100 triệu VND
CÔNG TY TNHH TƯ VẤN KỸ THUẬT APEX SOUTHERN CROSS
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Negotiable up to 40M
Công ty TNHH đầu tư và xây lắp FSC
Hồ Chí Minh
15 - 25 triệu VND + Phụ Cấp
CÔNG TY CỔ PHẦN VINHOMES - TẬP ĐOÀN VINGROUP
Hồ Chí Minh
10-100 triệu VND
Công ty Cổ phần Đầu tư và Thi công Hạ tầng VinAlpha
Hà Nội, Hồ Chí Minh, Quảng Ninh
Từ 40 - 50 triệu VND
CÔNG TY CP JESCO ASIA
Hồ Chí Minh
12 triệu - 18 triệu VND
CÔNG TY TNHH J-LONG VIỆT NAM
Hồ Chí Minh
15 - 25 triệu VND + Hoa Hồng
Công ty TNHH đầu tư và xây lắp FSC
Hồ Chí Minh
15 - 25 triệu VND + Phụ Cấp
CÔNG TY CP JESCO ASIA
Hồ Chí Minh
- 18 triệu VND
Công ty Cổ phần Thương mại và Du lịch Bình Dương
Hồ Chí Minh, Bình Dương, Đồng Nai
THỎA THUẬN
Công ty TNHH Bách Khang Việt Nam
Hồ Chí Minh, Hải Phòng, Hà Nam, Nghệ An, Quảng Ninh
Cạnh Tranh
CÔNG TY TNHH BASF VIỆT NAM
Xem trang công ty- Địa chỉ công ty: Tầng 11, Tòa nhà Saigon Trade Center, Số 37, Đường Tôn Đức T - Phường Bến Nghé - Quận 1 - TP Hồ Chí Minh
- Quy mô: Từ 101 - 500 nhân viên
- Lĩnh vực: Sản xuất / Vận hành sản xuất, Hóa học - Sinh học, Kinh doanh, Dầu khí - Hóa chất
Thông tin công việc
Vị trí:
Hình thức làm việc:
Toàn thời gian
Việc làm tương tự
Kế toán trưởng Ưu tiên Nam có kinh nghiệm trong lĩnh vực xây dựng
CÔNG TY CỔ PHẦN TẬP ĐOÀN FECON
Hồ Chí Minh
Thoả thuận
[TP.HCM] Phở 24 Tuyển Nhân Viên Nhà Hàng - Part-time/Full-time - Ca 4-8H Linh Hoạt
CÔNG TY TNHH EAST-WEST RESTAURANT CONCEPTS
Hồ Chí Minh
6.5 - 7.5 triệu VND
QC Ngành May Mặc | Thu Nhập 20-25 Triệu | 3+ Năm Kinh Nghiệm
CÔNG TY TNHH J-LONG VIỆT NAM
Hồ Chí Minh
20 - 25 triệu VND
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