1. JOB DESCRIPTION
- Synthesize and appraise the financial plan, capital needs of each department and business segment in the company.
- Evaluate the effectiveness of capital use in the production and business activities of the company in terms of finance
- Synthesize and analyze management reports at the request of management
- Coordinate cash flow management, financial risk control across departments and business segments; manage, monitor and supervise the implementation of loans, loan repayment and related financial expenses;
- Appraise financial efficiency of new projects, mobilize capital for project implementation, coordinate financial management during project implementation and after project completion;
- Perform other duties as assigned by superiors
2. JOB REQUIREMENTS
- University graduate majoring in accounting, auditing, corporate finance;
- From 5 years of experience or more in financial management, financial control of the company
- Proficient in excel/google sheet and other office computer software, knowing how to use Power BI or other data analysis tools is an advantage;
- Know how to plan, report, present, analyze and synthesize problems
- Connect and coordinate work with related departments.
- Able to work under high pressure and take initiative.
3 BENEFITS
- Salary and bonus commensurate with capacity, negotiated during interview
- Participating in resort, entertainment and sports activities of the company
- Professional and challenging working environment, offering many opportunities for advancement