Mô tả Công việc
The Group Finance Director is responsible for building and leading the finance function across multiple business entities under the same investor ecosystem. This role oversees Finance, Treasury, Cash Flow Management, and accounting operations across all companies while establishing strong financial governance, management reporting, and scalable financial control systems to support sustainable business growth.
Core Objectives
· Build Financial Visibility & Reporting: Establish standardized reporting, budgeting, forecasting, and KPI dashboards across all entities.
· Establish Treasury & Cash Flow Control: Optimize working capital, cash flow forecasting, banking relationships, and treasury management.
· Strengthen Financial Governance & Internal Control: Implement financial policies, approval matrix, internal controls, and risk management processes.
· Support Strategic Growth & Accounting Operations: Oversee accounting operations while providing financial analysis and business insights to support expansion and profitability improvement.
Key Responsibilities
· Lead finance and accounting operations across all business entities.
· Build and standardize management reporting and accounting processes.
· Lead budgeting, forecasting, and financial planning activities.
· Monitor and optimize cash flow, working capital, and liquidity.
· Oversee accounting compliance, tax coordination, and audit activities.
· Develop financial governance, approval matrix, and internal controls.
· Support investment analysis and profitability evaluation.
· Partner with
business leaders to improve operational and financial performance.
· Build and develop finance and accounting team capability across entities.