Job Requirements
Job benefits
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Flexible work hours
Productivity curve is not something steady and consistent as it depends on each person's unique traits and preferences. At our company, as long as your team is in sync and your goal is hit, you can flexibly decide when you want to work.
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Medical insurance
To ensure your health and wellbeing, you have various medical plans to choose from depending on your situation and unique needs. From partial up to full medical coverage, we got you covered.
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Team-building events
Our company simply cannot function well without teams of people working together. That said, we provide numerous team-building activities and events for you and your team to nurture meaningful relationships between every individual.
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Vacation & Leaves
Feel a need for a short break from work? our company is quite flexible when it comes to leaves; be it for vacation, sick, personal, or mental health days. Simply discuss what you need and we will try to cater to those.
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Skills
Job description for Chief Financial Officer (Real Estate) at Headhunt Viet Nam
- Set and achieve the Company/Group’s long-term financial goals.
- Define optimal capital structure and Company’s business portfolio.
- Oversee, exercise authority, and approve decision on major investments, key capital allocation decisions, and corporate matters.
- Participate to evaluate the financial variability of business investment projects.
- Review financial efficiency of investments.
- Participate to raise capital from share issuance, bond issuances and IPO/listing.
- Participate in business planning of the Company/Group.
- Participate to plan ownership structure models for member companies.
- Recommend the appointment & dismissal of the Financial Director/Chief Accountant at member companies.
- Unify reporting forms
- Provide effective and efficient fact-based financial information, evaluation, and overall enterprise risk assessment.
- Lead and manage fund raising, financial budgeting and forecasting process.
- Lead development of long-term overall development, redevelopment, acquisition, and divestment strategies for asset portfolios based on changes in the market, including shifts in customer needs, competitions, and regulations.
- Lead activities in capital raising and investment partnership to drive asset strategies and portfolio executions.
- Work with Investment Division to deal structuring and negotiations to optimize cost vs. return of capitals.
- Monitor, manage, analyze, forecast, and balance cash flow to ensure adequacy of fund for business activities and effectiveness of fund allocation.
- Oversee and ensure integrity and robustness of financial review and performance management process.
- Maintain and secure data in accounting software and fully exploit functions of accounting software to increase the work efficiency.
- Monitor returns from capital investment to ensure compliance with investment agreements and other related contracts.
- Set policies, procedures, and overall financial-related guidelines.
- Oversee execution of best-in-class in financial and risk management as well performance evaluation process.
- Ensure continuous improvement of financial management process.
- Create management reports as required.
- Perform basic analysis to assess company standing vs. business sector and development trends of product lines to propose measures to enhance operational efficiency in expanding market share.
- Manage relationships with shareholders, business partners, banks, financial institutions, credit institutions, governments, state authorities (tax, state audit), investors, etc.,
- Organize and implement company presentation periodically.
- Support to provide financial information to investor community and key stakeholders.
- Propose annual dividend payment plans (dividend rate, forms of payment…).
- Maintain and develop friendly relations with strategic partners, audit, and consulting companies.
- Work with financial institutions to obtain cheap capital.
- Define and execute best-in-class accounting policies and standards and risk assessment and control measures.
- Oversee closings, audits, and preparation of financial statements; ensure compliance with regulatory requirements and effectiveness tax planning.
- Sign receipts, payment orders, authorizations, financial reports and tax reports according to the decentralized authority.
- Supervise the keeping records and accounting documents in accordance with regulations.
- Supervise the observance of tax accounting law to control accounting vouchers and entries as per regulations of governance and the Company.
- Provide appropriate consulting about tax payment and management to enhance company’s benefit and keep compliance.
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