Mô tả công việc
1. Treasury Management
• Monitor and manage the organization's bank relationships and liquidity.
• Manage foreign currency exposure and foreign currency payments.
• Analyze financial scenarios and risks, and report to senior management.
• Forecast medium- and long-term funding requirements and hedging needs (if applicable).
• Perform weekly cash management.
• Manage debt facilities.
• Oversee interest rate risk and develop strategies to mitigate related risks.
• Manage foreign exchange risks and develop hedging strategies.
• Manage and supervise team members.
• Prepare management and board reports.
• Liaise with senior management across the organization.
• Support month-end closing activities as required.
2. Financial Planning & Analysis
• Perform financial forecasting, variance reporting, and operational metrics tracking.
• Build financial models for budgeting and rolling forecasts in Excel (including use of macros).
• Develop financial models for projects at contracting and development stages.
• Collaborate with shareholder representatives and financial analysts on modeling, analysis, and revisions.
• Oversee the monthly closing calendar to ensure timely variance analysis and forecast submissions.
• Supervise the group-level closing calendar and financial consolidation.
• Collaborate with departments and teams to ensure accurate reporting and analysis of business KPIs.
• Work with factories to analyze production, ERP process flow, standard costing, and efficiency KPIs.
• Coordinate with the accounting team to ensure accurate and compliant financial reporting.
• Recommend actions through analysis, interpretation, and comparison of financial data; study proposed operational or material changes.
3. Audit & Compliance
• Support and complete statutory, tax, and internal audits.
• Ensure robust accounting and reporting systems across the group, maintaining effective internal controls and providing strategic financial advice to management.
• Ensure full compliance with statutory accounting and ACRA requirements.
4. Projects & Reporting
• Support Group Finance in special projects such as ERP implementation, cost center reporting, etc.
• Prepare monthly project and system reports for regional review and analysis.
• Support the budgeting and rolling forecast processes.
• Manage administrative budgets and reports.
• Provide regional financial metrics and performance analysis.
• Work with QS on claims reconciliation and resolve discrepancies between submitted and approved amounts.
5. People Management
• Assign, supervise, and evaluate the work performance of team members.
• Execute and report all duties assigned by the Group Finance Controller or the Board of Management.
Yêu cầu
The preferred qualifications and skills include, but are not limited to:
• Proven experience managing a Treasury function.
• Strong understanding of treasury accounting, including FX, liquidity, cash flow, and financial instruments.
• Sound knowledge of accounting principles.
• Solid understanding of financial markets and debt instruments.
• Experience in managing banking relationships and covenants.
• Ability to work independently and as part of a larger team.
• High level of discretion and ability to handle sensitive information.
• Excellent time management and organizational skills.
• Strong attention to detail and accuracy.
• Excellent client relationship management and customer service skills.
• Strong teamwork, coordination, and communication skills.
• Intermediate to advanced proficiency in Excel and accounting software.
• Ability to work independently using BI/Tableau and other automated reporting tools for consolidated reports.
• Proficiency in Microsoft Excel; familiarity with data query and management tools (Access, SQL, Business Objects) is highly preferred.
Quyền lợi
Thưởng
Khoảng lương dao động: 20,000,000đ - 30,000,000đ
Chăm sóc sức khoẻ
Các chế độ phúc lợi xã hội như: BHYT, BHXH, BH thất nghiệp theo quy định của Luật lao động
Đào tạo
Chế độ đào tạo nâng cao nghiệp vụ và có cơ hội thăng tiến trong nghề nghiệp
Thông tin khác
NGÀY ĐĂNG
[protected info]
CẤP BẬC
Trưởng phòng
NGÀNH NGHỀ
Kế Toán/Kiểm Toán > Kiểm Soát Viên Tài Chính
KỸ NĂNG
Treasury Operations, Financial Forecast, Channel Relationship Management, Finance Analyst
LĨNH VỰC
Kỹ thuật xây dựng/Cơ sở hạ tầng
NGÔN NGỮ TRÌNH BÀY HỒ SƠ
Bất kỳ
SỐ NĂM KINH NGHIỆM TỐI THIỂU
3
QUỐC TỊCH
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Thông tin chung
Nơi làm việc
- 326 Võ Văn Kiệt, Phường Cầu Ông Lãnh, TP Hồ Chí Minh
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Hạn nộp: 07/12/2025