Key Responsibilities


Financial Reporting and Analysis


- Oversee the preparation and submission of monthly and annual financial reports for all venues, ensuring accuracy and alignment with overall business goals


- Collaborate closely with TMG Accounting for P&L and budget reporting, ensuring alignment with internal financial goals and company-wide standards


- Analyze financial data, including trends, variances, and performance metrics, to provide actionable insights to the GGM and other senior leaders.


- Present comprehensive financial reporting to senior management summarizing key financial metrics and performance, and offering recommendations for improvement


Budget Management and Forecasting


- Develop and maintain the annual budgets for all F&B venues, ensuring that each venue’s financial objectives align with overall corporate goals


- Track and monitor budget performance, providing monthly forecasts and adjusting financial projections as necessary


- Collaborate with TMG Account to ensure all budget data is consistent and in line with P&L reporting


Cost control and Profitability Analysis


- Implement and manage cost control systems to ensure financial efficiency across all venues, focusing on food and beverage costs, labor cost, and overhead expenses


- Perform cost-benefit analyses on menu items, ingredients sourcing, and supplier contracts to ensure maximum profitability


- Work with TMG Accounting to integrate financial data into actionable strategies for enhancing operational margins and cost efficiency


Inventory and Cash Management


- Oversee inventory management, ensuring that inventory systems are accurate and reflect the actual usage of goods


- Coordinate with TMG Accounting on inventory and procurement reporting, identifying areas to minimize waste and optimize stock levels


- Manage cash handling and banking activities, ensuring compliance with company policies and safeguarding financial assets


Regulatory Compliance and Audit Management


- Ensure compliance with all relevant financial regulations, including local tax laws, reporting requirements, and industry standards


- Work with TMG Accounting during the audit process to ensure financial data is prepared in line with external audit requirements


- Implement and oversee internal controls to protect against fraud and mismanagement and ensure financial integrity


Cross-Functional Collaboration


- Work closely with Operations Directors, Culinary Directors, and other senior leaders to ensure financial alignment with operational strategies


- Coordinate with TMG Accounting on monthly P&L reporting, ensuring timely and accurate financial data is provided to the team


- Support business development, new ventures, and venue expansion projects with financial analysis and profitability assessments


Team Leadership and Development


- Lead a small team of F&B accountants, providing guidance, training and mentorship to ensure adherence to company policies and accurate financial reporting


- Promote a culture of continuous improvement and high standards in financial reporting, ensuring the team is equipped to handle complex financial challenges


- Ensure the team is aligned with TMG Accounting’s systems and policies, facilitating effective communication and alignment across all financial functions


Technology and system Implementation


- Oversee the implementation and integration of financial systems that align with TMG Accounting’s tools and systems


- Ensure all F&B venues utilize efficient financial systems for managing P&L and budgeting, optimizing overall reporting efficiency


- Collaborate with TMG Accounting to improve current financial systems and identify potential upgrades or enhancements


Sustainability and Cost Efficiency


- Collaborate with the senior leadership team to integrate sustainability efforts into financial decisions


- Monitor the impact of sustainability initiatives on cost and profitability and work with TMG Accounting to report on progress and outcomes

Qualifications and Experience


- Minimum of 7 years of experience in Financial management, with at least 3 years in a senior accounting or finance role withing the F&B or hospitality industry


- Proven expertise in budget management, cost control, and P&L reporting in multi-venue operations


- Strong understanding of accounting principles, financial regulations, and compliance standards


- Experience with F&B-specific financial management tools and accounting software (e.g., Sage, Quickbooks, etc.)


- Degrees in Accounting, Finance, or related field; professional certification (e.g., CPA, ACCA) are preferred


- Fluency in English, Thai language skills are highly desirable

Experience required
  • any or no experience
Salary
  • Negotiable
Job function
  • Accounting
  • Management
Job type
  • Full-time

Company overview

Size:2000-5000 employees
Industry:Retail
Location:Bangkok
Website:www.themallgroup.com
Founded in:1981
Ranking:4/5

The Mall Group Co., Ltd. is a leading retail conglomerate in Thailand, specializing in the development and operation of shopping malls and department stores. The company owns and operates some of the country’s most well-known retail destinations, providing customers with a wide r ...

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Why join us:

At The Mall Group, we are committed to delivering exceptional retail experiences that enrich the lives of our customers.As a member of our team, you will be part of a dynamic organization that values innovation, customer satisfaction, and community engagement. We offer diver ...

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Head office: 144 Ramkhamhaeng.Rd, Hua Mak, Bang Kapi, Bangkok
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