The role will be key management team members and in charge of accounting and finance department:
- Manage to deliver management account reports, monthly/quarterly/yearly closing reports for subsidiaries; and consolidated management account reports, monthly/quarterly/yearly closing reports for the whole group based on SFRS on time;
- Prepare audit reports for subsidiaries and consolidated audit report for whole group based on SFRS; working with the auditor to deliver audited reports on time;
- Direct and review financial planning and budget management functions. Manage the company's financial planning;
- Direct and support CEO conducting financial forecast on quarterly, yearly basis and adhoc basis requested by BOD;
- Manage cash flow and prepare cash flow, cash balance reports on weekly, monthly, quarter and year-end for CEO, management team; recommend actions to ensure cash flow accurate, sustainable;
- Be responsible for cost, payment control and approval by threshold according to financial plan/cash flow plan;
- Prepare, track and propose key operational, finance KPIs (sales - revenue, profit and loss, unit economics, CAC…) to support CEO making key decisions;
- Oversee tax functions to ensure compliance, optimization for subsidiaries and Singapore group;
- Develop/Improve payment processes, operation processes to improve efficiency, reduce costs, enhance profitability;
- Stay current on accounting principles and regulations, and ensure compliance with all applicable laws and standards;
- Oversee and manage the activities of the Finance, Legal Compliance, C&B departments;
- Manage funding relationships with investors, banks;
- Prepare shareholders materials for subsidiaries and Singapore entity in coordination with legal firms and corp sec companies;
- Support CEO in fundraising; finding alternative sources of fundings (banks, private credit…) and other tasks assigned by the CEO.
The role will be key management team members and in charge of accounting and finance department:
- Manage to deliver management account reports, monthly/quarterly/yearly closing reports for subsidiaries; and consolidated management account reports, monthly/quarterly/yearly closing reports for the whole group based on SFRS on time;
- Prepare audit reports for subsidiaries and consolidated audit report for whole group based on SFRS; working with the auditor to deliver audited reports on time;
- Direct and review financial planning and budget management functions. Manage the company's financial planning;
- Direct and support CEO conducting financial forecast on quarterly, yearly basis and adhoc basis requested by BOD;
- Manage cash flow and prepare cash flow, cash balance reports on weekly, monthly, quarter and year-end for CEO, management team; recommend actions to ensure cash flow accurate, sustainable;
- Be responsible for cost, payment control and approval by threshold according to financial plan/cash flow plan;
- Prepare, track and propose key operational, finance KPIs (sales - revenue, profit and loss, unit economics, CAC…) to support CEO making key decisions;
- Oversee tax functions to ensure compliance, optimization for subsidiaries and Singapore group;
- Develop/Improve payment processes, operation processes to improve efficiency, reduce costs, enhance profitability;
- Stay current on accounting principles and regulations, and ensure compliance with all applicable laws and standards;
- Oversee and manage the activities of the Finance, Legal Compliance, C&B departments;
- Manage funding relationships with investors, banks;
- Prepare shareholders materials for subsidiaries and Singapore entity in coordination with legal firms and corp sec companies;
- Support CEO in fundraising; finding alternative sources of fundings (banks, private credit…) and other tasks assigned by the CEO.
*** WORKING HOUR AND LOCATION
- Working hour: 8:30AM - 5:30PM from Monday to Friday;
- Location: Bcons Tower, 176/1 Nguyen Van Thuong Street, Ward 25, Binh Thanh District, HCMC, Vietnam.
- Bachelor degree in accounting - finance; ACCA is preferred;
- At least 12 years in accounting - finance and at least 5 years in management/supervision position;
- Good knowledge of SFRS / IFRS / VAS /Taxation;
- Experience in consolidated financial reports is a must;
- Eager and willing to work with fast-growing startups; experience in startup is preferred.
- Strong analytical and problem-solving skills;
- Profound knowledge of the Vietnam tax system and regulations;
- Proven knowledge of financial governance standards and procedures, laws, rules and regulations;
- Excellent communication and interpersonal skills;
- Fluency in English in both written and communication;
- Proficient in Microsoft Office Suite, Google WorkSpace and financial software applications;
- Proficient in Data analytic tools is preferred.
- Salary: Negotiation from VND 50,000,000 million with annual performance review;
- Bonus: Annual bonus based on business performance;
- Free English training for employee and children;
- Basic Social, health and unemployment insurance, extra health insurance;
- Team building, beerfest, gala dinner yearly;
- Opportunities to work directly with CEO and key institutional shareholders (Temasek subsidiary, profound home-grown venture capital firm…).