Overseeing and managing the financial operations and activities of Thailand Office. 

1. Manage Accounting Team: Leading and supervising a team of finance professionals. Assigning tasks, providing guidance, conducting performance evaluations, and promoting professional development.

2. Creditor Management: Managing cash flow, including forecasting cash needs, optimizing working capital, and overseeing accounts receivable and accounts payable functions.

3. Budgeting and Cost Control: Collaborating with other departments to establish budgetary guidelines and monitor expenses. Analysing variances between actual and budgeted financial performance and implementing cost-saving measures.

4. Financial Compliance: VAT & Revenue management, ensuring our INPUT VAT receipts are collected & submitted on time. All compliances and statutory requirments to be met on time.

5. Financial Planning and Analysis: Developing and implementing financial strategies, budgets, and forecasts. Conducting financial analysis to support decision-making and identify areas for improvement.

6. Financial Reporting: Ensuring accurate and timely financial reporting in accordance with accounting principles and regulations. Preparing financial statements, balance sheets, income statements, and cash flow statements. Collaborating with senior management to develop long-term financial strategies aligned with organizational goals.

Required Qualifications: 

  • Chartered Accountant with at least 5 years of experience at managerial level.
  • Should have planning, organisational & administrative skills
  • Advance level of automation, financial software, MS excel.
  • Knowledge Thai compliance requirements.

Desired Qualifications: 

  • Relationship management with Banks & Financial institutions.
  • Thai National.
  • Thai Speaking.

Job Category: Finance
Job Type: Full Time
Job Location: Thailand

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