*** ABOUT THE JOB
The role will be key management team members and in charge of accounting and finance department:
- Be responsible for cost, payment control and approval by threshold according to financial plan/cash flow plan;
- 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&039;s financial planning;
- Prepare shareholders materials for subsidiaries and Singapore entity in coordination with legal firms and corp sec companies;
- Oversee tax functions to ensure compliance, optimization for subsidiaries and Singapore group;
- Direct and support CEO conducting financial forecast on quarterly, yearly basis and adhoc basis requested by BOD;
- Prepare, track and propose key operational, finance KPIs (sales- revenue, profit and loss, unit economics, CAC…) to support CEO making key decisions;
- Develop/Improve payment processes, operation processes to improve efficiency, reduce costs, enhance profitability;
- 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;
- Support CEO in fundraising; finding alternative sources of fundings (banks, private credit…) and other tasks assigned by the CEO.
- Oversee and manage the activities of the Finance, Legal Compliance, C&B departments;
- Stay current on accounting principles and regulations, and ensure compliance with all applicable laws and standards;
- 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;
- Manage funding relationships with investors, banks;
The role will be key management team members and in charge of accounting and finance department:
- Direct and support CEO conducting financial forecast on quarterly, yearly basis and adhoc basis requested by BOD;
- Support CEO in fundraising; finding alternative sources of fundings (banks, private credit…) and other tasks assigned by the CEO.
- Prepare shareholders materials for subsidiaries and Singapore entity in coordination with legal firms and corp sec companies;
- Manage funding relationships with investors, banks;
- Oversee tax functions to ensure compliance, optimization for subsidiaries and Singapore group;
- Direct and review financial planning and budget management functions. Manage the company&039;s financial planning;
- Develop/Improve payment processes, operation processes to improve efficiency, reduce costs, enhance profitability;
- 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;
- Be responsible for cost, payment control and approval by threshold according to financial plan/cash flow plan;
- 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;
- Oversee and manage the activities of the Finance, Legal Compliance, C&B departments;
- Stay current on accounting principles and regulations, and ensure compliance with all applicable laws and standards;
- Prepare, track and propose key operational, finance KPIs (sales- revenue, profit and loss, unit economics, CAC…) to support CEO making key decisions;
- 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;
*** WORKING HOUR AND LOCATION
- Location: Bcons Tower, 176/1 Nguyen Van Thuong Street, Ward 25, Binh Thanh District, HCMC, Vietnam.
- Working hour: 8:30AM- 5:30PM from Monday to Friday;
*** REQUIREMENTS
- Proficient in Microsoft Office Suite, Google WorkSpace and financial software applications;
- Excellent communication and interpersonal skills;
- Fluency in English in both written and communication;
- Profound knowledge of the Vietnam tax system and regulations;
- At least 12 years in accounting- finance and at least 5 years in management/supervision position;
- Experience in consolidated financial reports is a must;
- Proficient in Data analytic tools is preferred.
- Eager and willing to work with fast- growing startups; experience in startup is preferred.
- Proven knowledge of financial governance standards and procedures, laws, rules and regulations;
- Strong analytical and problem- solving skills;
- Bachelor degree in accounting- finance; ACCA is preferred;
- Good knowledge of SFRS / IFRS / VAS /Taxation;
*** COMPENSATION
- Bonus: Annual bonus based on business performance;
- Team building, beerfest, gala dinner yearly;
- Opportunities to work directly with CEO and key institutional shareholders (Temasek subsidiary, profound home- grown venture capital firm…).
- Basic Social, health and unemployment insurance, extra health insurance;
- Salary: Negotiation from VND 50,000,000 million with annual performance review;
- Free English training for employee and children;