- Planning financial strategy, setting short-term and long-term financial goals, supporting business operations and strategic direction of the company;
- Building the organizational structure within the scope of responsibility: accounting system, financial audit, accounting control of the company;
- Advising the Director on company activities in the fields of: Tax, Accounting, finance, financial investment;
- Financial management and accounting, assessing the financial situation to propose measures to improve the financial capacity of the company;
- Developing and controlling the budget;
- Develop, coordinate, evaluate and check financial statements;
- Manage capital, budget and cash flow, control costs, ensure timely budget preparation for safe and effective business activities.
- Manage activities of financial statements, tax reports, management reports, cash flow reports, business analysis for the Board of Directors to make reasonable financial and investment decisions;
- Management of financial accounting and management accounting activities
- Controlling the implementation of the financial plan, evaluating the effectiveness of using capital, costs and resources;
- Develop, coordinate, evaluate and check the company's financial statements and business results reports;
- Establish and maintain relationships with relevant agencies related to financial activities of the company (credit institutions, banks, investment funds, investors...)
- Manage and train staff of the Accounting Department, build the succession team;
- Perform other duties as assigned by the Director.
- Job details will be discussed in detail during the interview.