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Skills:
Finance, Accounting, Payroll, English, Cantonese
Job type:
Full-time
Salary:
negotiable
- Understand and possess a working knowledge of the Accounting & Finance Manual.
- Good understanding of Month-End Process, including but not limited to preparation of financial statements, accruals and journal entries, maintain reconciliations for all balance sheet accounts in established corporate formats and in accordance with generally accepted accounting principles.
- Perform all daily, monthly, and other periodic accounting and financial reporting in an accurate and timely nature.
- Have a working knowledge of all areas in Finance to ensure that coverage can be provided for employees on vacation or leave.
- Be familiar with the program of records control, security, retention and disposal in accordance with hotel policy and procedures.
- Have the ability to direct the efforts, quality and timeliness of all aspects of the payroll, general ledger, accounts payable and general cashiering.
- Bachelor degree in Finance, Accounting or a related field (preferred).
- Proven exceptional performance in your current role, demonstrating leadership potential.
- Excellent communication and organizational skills, with proficiency in English, Cantonese or Mandarin.
- High attention to detail, problem-solving abilities, and a proactive mindset.
- Computer literacy to include MS Word, Excel, and ability to use e-mail and the Internet.
- Join Our Team.
- Join a team that is built on mutual respect, collaboration, creativity and a commitment to the highest quality of service. Four Seasons Hotel and Private Residences Bangkok Chao Phraya provides guests with a haven of serenity and luxury in a bustling city. Four Seasons provides employees with the same level of care that we expect to be shared with our guests. We have been ranked in FORTUNE Magazine s 100 Best Companies to work for since 1998.
- What to expect: You will .
- Be a champion of the Golden Rule: Do unto others as you would have them do unto you.
- Be part of a cohesive team with opportunities to learn, grow and develop.
- Have the opportunity to engage in diverse and challenging work.
- Derive a sense of pride in work well done.
- Be recognized for excellence.
Experience:
No experience required
Skills:
Taxation, Financial Reporting, English, Thai
Job type:
Full-time
Salary:
฿18,000 - ฿25,000, negotiable
- Process all AP/AR transactions to ensure accurate and timely recording of corporate financial expenditures, and process timely disbursements, reimbursements, and collection.
- Monitor processes associated with the purchasing/receiving/payable process, assessing areas of possible improvement and propose appropriate changes to process.
- Month-end close responsibilities including journal entry preparation and account analysis/reconciliations.
- Reconcile accounts payable and receivable and record transactions into accounting system.
- Generate essential management reports for business improvement.
- Bachelor s degree in Accounting or Finance.
- Strong problem-solving skills, basic accounting principles knowledge, documentation skills, research and resolution skills, data analysis and multi-tasking skills.
- Ability to work cooperatively and collaboratively with all levels of employees, management, and clients.
- Must be well organized and a self-starter.
- Analytical thinking to support integrated business operations.
- Advanced Excel skills and Accounting System.
- Detail oriented, professional attitude, reliable.
- Ability to adhere to deadlines.
- Value teamwork and collaboration.
- Good verbal and written communication skills in Thai and English.
- Salary structure with performance-based bonus program.
- Overrides on individual and team success and bi-annual bonus.
- World-class benefits and welfare for all Gens.
Skills:
Compliance, Finance, Accounting, English
Job type:
Full-time
Salary:
negotiable
- Collaborate and coordinate cross-functionally to drive understanding of business processes and initiatives throughout the company, including the preparation of consolidated financial reports and disclosures.
- Work closely with management in the development and improvement of business processes and initiatives.
- Proactively keep updated with regulations, identify and analyze regulation gaps, and ensure compliance in relevant processes.
- Help prepare and assemble monthly management reports.
- Perform tasks with prudence and attention to detail.
- Participate in or execute ad hoc tasks or projects to support the disclosures of financial reporting.
- Partner closely with execution teams to identify and resolve operational or process issues effectively.
- Bachelor's Degree or higher in MBA, Economics, Finance, Accounting or related fields.
- At least 8-10 years experience in Financial or Banking industry.
- Experience in Accounting and Financial Statements's Preparation is advantage.
- High achievement drive.
- Good communication skill and able to collaborate well with many parties.
- Good command of both written and spoken English.
- Talent Acquisition Department Bank of Ayudhya Public Company Limited.
- 1222 Rama III Rd., Bangpongpang, Yannawa, Bangkok 10120.
- Applicants can read the Personal Data Protection Announcement of the Bank's Human Resources Function by typing the link from the image that stated below.
- (https://krungsri.com/b/privacynoticeen).
- Remark: The bank needs to and will have a process for verifying personal information related to the criminal history of applicants before they are considered for employment with the bank.
- Only shortlisted candidates will be contacted"
- FB: Krungsri Career.
- LinkedIn: Krungsri.
- LINE: Krungsri Career..
Skills:
Accounts Payable, Accounts Receivable, Compliance
Job type:
Full-time
Salary:
negotiable
- Record and maintain accurate daily financial transactions, including journal entries.
- Process accounts payable and receivable transactions as needed.
- Maintain accounts receivable records to ensure aging is up to date, credits and collections are applied, uncollectible amounts are accounted for, and miscellaneous differences are cleared.
- Assist in preparing invoices, receipts, and other financial documents.
- Ensure the completeness of trade and marketing accruals and monitor internal order budgets for trade and marketing activities to ensure proper control is in place.
- Record the cost of newly-acquired fixed assets, track existing fixed assets, record depreciation, and manage the disposal of fixed assets to ensure company assets are up-to-date.
- Maintain and update the general ledger with accurate entries.
- Perform monthly reconciliations of bank statements, accounts, and intercompany balances.
- Assist in month-end and year-end closing processes by preparing journal entries and financial schedules.
- Support the preparation of financial statements and management reports.
- Ensure compliance with company policies, accounting standards, and statutory regulations.
- Assist in providing documentation for internal and external audits.
- Work with the finance team to implement best practices and support financial queries from other departments.
- Participate in budgeting and forecasting activities as needed.
- Bachelor s degree in accounting, Finance, or a related field.
- 2-3 years of accounting experience, including general ledger responsibilities.
- Experience in the FMCG sector or a fast-paced industry is an advantage.
- Familiarity with accounting software (e.g., SAP, D365, Oracle, or similar).
- Strong knowledge of basic accounting principles.
- Proficiency in MS Excel (pivot tables, VLOOKUP, etc.).
- Excellent attention to detail and organizational skills.
- Good problem-solving and communication abilities..
Skills:
Financial Reporting, Compliance, Internal Audit, English
Job type:
Full-time
Salary:
negotiable
- Support Head of Internal Control in development of detailed work plan for Internal Control to achieve objectives of reliability of financial reporting and effectiveness and efficiency of operations, and compliance with applicable laws and regulations.
- Develop and maintain a standard control catalogue of key business processes in order for business functions to perform a control self-assessment.
- Update and maintain an up-to-date record of SoA profile assignment and provide an advisory service on policies and guidelines relevant to corporate governance such as S ...
- Review business-owned policies/ procedures/ work instructions and provide recommendations in order to ensure completeness and alignment of all policies / procedures across all functions with sufficient internal controls designed.
- Evaluate the effectiveness of internal control practice including performing detective control review, provide recommendations and support across business functions for strengthening the process of implementation, and monitor results from improved areas and mechanisms to maintain the consistency of internal control processes.
- Work with business operations (up to Head of- levels) in control related activities such as internal control reviews, clarification of CoI declaration, implementing appropriate actions to close control gaps identified by Internal Audit.
- Perform other related duties as assigned.
- Minimum 6 years of experience in Internal Control, Internal Audit and Auditing, business/ finance operations.
- Experience with Manufacturing / FMCG industry in multinational or listed company.
- Good command of English and Thai.
- Organized, highly motivated, able to work independently and as a member of the team.
- Strong interpersonal and communication skills in particular to motivate, facilitate team consensus building.
- Ability to manage and prioritize multiple projects, and execute tasks in high-pressure and dynamic environment.
- Logical thinking and strong analytical skills with attention to details.
- Proficiency in MS Excel, MS Visio, MS Power Point and MS Word.
- Knowledge of SAP is a plus.
- CIA and CPA is a plus.
Skills:
Risk Management, Compliance, Procurement, English
Job type:
Full-time
Salary:
negotiable
- Lead in the implementation of OSP Internal Control Framework to all levels of organization to enable the Company accomplishing objectives relating to operations, reporting and compliance e.g., OSP Internal Control Standard, Internal Control Adequacy self-assessment, 7 Minimum Oversight Indicators (7MOI).
- Develop, update, training and support on the new or update of policies / procedures / guideline/I e.g., Procurement procedure, Finance and Accounting procedure, Schedule of Authority (SoA), Code of Conduct (CoC), Gift and Entertainment, etc.
- Partner with Business and provide advice/ make recommendation on control/process improvement to ensure that business process and controls are appropriately designed and in place.
- Support on Risk Management Committee (RMC), Audit Committee (AC) and related activities such as quarterly risk progress update with Management team.
- Coordinate with internal auditor and external auditor.
- Other ad-hoc tasks as assigned.
- Bachelor's degree in Accounting or Finance.
- Minimum 5 years' work experience in internal control, internal audit field, preferably FMCG or Manufacturing industry.
- CIA is preferable.
- Strong communication and people skills, Business partnering mindset, able to influence management and work with across functions.
- Able to lead the business and make a decision for problem solving.
- Good in English verbal and written communication.
Skills:
Risk Management, SAP, Excel
Job type:
Full-time
Salary:
negotiable
- บริหารการจัดทำและยื่นแบบภาษี (ภาษีมูลค่าเพิ่ม, ภาษี หัก ณ ที่จ่าย, ภาษีสรรพสามิต ฯลฯ) ให้ถูกต้อง ครบถ้วน และตรงเวลา.
- วิเคราะห์รายการทางบัญชีและธุรกรรมเชิงธุรกิจ เพื่อประเมินผลกระทบด้านภาษีล่วงหน้า (Tax Impact Analysis).
- บริหารความเสี่ยงด้านภาษี (Tax Risk Management) และเตรียมความพร้อมรองรับการตรวจสอบจากกรมสรรพากร.
- พัฒนาและปรับปรุงกระบวนการทำงานด้านภาษีให้มีประสิทธิภาพ ลดความผิดพลาด และลดภาระงานซ้ำซ้อน.
- ประสานงานกับหน่วยงานราชการ อย่างมืออาชีพ.
- จัดทำรายงานวิเคราะห์ข้อมูลภาษีเพื่อใช้ประกอบการวางแผนทางการเงิน.
- ติดตามการเปลี่ยนแปลงกฎหมายภาษี และเสนอแนวทางปรับตัวเชิงรุก พร้อมทั้งให้คำแนะนำด้านภาษีแก่หน่วยงานภายใน.
- วุฒิการศึกษาระดับปริญญาตรีหรือปริญญาโท สาขาบัญชี หรือสาขาที่เกี่ยวข้อง.
- ประสบการณ์ด้านภาษีองค์กร 3-5 ปี.
- มีความรู้และสามารถเข้าใจเข้าใจโครงสร้างธุรกิจและสามารถวิเคราะห์ผลกระทบภาษีเชิงกลยุทธ์ได้.
- มีประสบการณ์การใช้ระบบ SAP และมีทักษะวิเคราะห์ข้อมูล (Data-driven mindset) และใช้ Excel ขั้นสูงได้.
- มีความสามารถในการสื่อสารและสามารถติดต่อประสานงานกับหน่วยงานราชการได้อย่างมีประสิทธิภาพ.
- มีความละเอียดรอบคอบ และมีมุมมองเชิงบริหารความเสี่ยง..
Skills:
Accounting, Automation, Budgeting
Job type:
Full-time
Salary:
negotiable
- กำกับดูแลการจัดทำงบการเงินรวม (Consolidated Financial Statements) ให้ถูกต้องตามมาตรฐานบัญชี (TFRS/IFRS) และข้อกำหนดที่เกี่ยวข้อง.
- บริหารกระบวนการ consolidation ของกลุ่มบริษัท รวมถึง.
- การตัดรายการระหว่างกัน (Intercompany elimination).
- การรับรู้เงินลงทุนในบริษัทย่อย/บริษัทร่วม/กิจการร่วมค้า (Subsidiaries / Associates / JVs).
- วิเคราะห์ประเด็นบัญชีที่มีความซับซ้อน เช่น JV structure, revenue recognition, impairment.
- ประสานงานกับผู้สอบบัญชีและหน่วยงานกำกับดูแล เพื่อให้การปิดงบเป็นไปอย่างราบรื่นและทันเวลา.
- Management Accounting & Business Performance.
- จัดทำ Management Accounts และรายงานผลการดำเนินงานรายเดือน/รายไตรมาส.
- วิเคราะห์ผลการดำเนินงานเชิงลึก (Performance Analysis) เช่น.
- Revenue, Gross Margin, Net Profit.
- Variance analysis เทียบ Budget / Forecast.
- วิเคราะห์ profitability ในระดับ.
- รายโครงการ (Project-level).
- รายธุรกิจ (Business unit).
- ราย Segment.
- ทำหน้าที่เป็น Business Partner ให้กับหน่วยงานธุรกิจ เพื่อสนับสนุนการตัดสินใจเชิงกลยุทธ์.
- Management Reporting & Presentation.
- จัดทำรายงานและ Presentation สำหรับผู้บริหารระดับสูง (ExCom / Board of Directors).
- สื่อสารข้อมูลทางการเงินที่ซับซ้อนให้เข้าใจง่าย พร้อม highlight key issues และ actionable insights.
- พัฒนา reporting framework, dashboard และ KPI ให้ตอบโจทย์ผู้บริหาร.
- Governance, Internal Control & Compliance.
- สนับสนุนการกำกับดูแลด้านการเงินให้เป็นไปตามนโยบายบริษัทและหลักการกำกับดูแลกิจการที่ดี (Good Corporate Governance).
- สนับสนุนข้อมูลสำหรับ MD&A และรายงานประจำปี.
- Process Improvement & Digitalization.
- ปรับปรุงกระบวนการปิดงบ (Fast close) และการรายงานให้มีประสิทธิภาพ.
- นำเครื่องมือหรือระบบใหม่ (เช่น BI tools / Automation) มาใช้เพื่อเพิ่มความแม่นยำและลด manual work.
- ยกระดับ data quality และ data governance.
- Team Leadership.
- บริหารทีมงาน วางแผนงาน และพัฒนาศักยภาพทีม.
- สร้างวัฒนธรรมการทำงานเชิงวิเคราะห์ (analytical mindset) และการทำงานเชิงรุก.
- ปริญญาตรีหรือโท สาขา บัญชี / การเงิน / บริหารธุรกิจ.
- มีประสบการณ์อย่างน้อย 8-12 ปี ด้าน Consolidation / Financial Reporting / Management Accounting.
- มีประสบการณ์ในบริษัทจดทะเบียน หรือ Big 4 จะได้รับการพิจารณาเป็นพิเศษ.
- มีความรู้ TFRS/IFRS และประเด็นบัญชีที่ซับซ้อน (เช่น JV, financial instruments, revenue recognition).
- มีประสบการณ์ด้าน Budgeting, Forecasting และ Financial Analysis.
- มีทักษะ Excel ระดับสูง และเครื่องมือ BI (เช่น Power BI).
- ทักษะสำคัญ (Key Competencies).
- Strong Financial & Business Acumen.
- Strategic Thinking & Commercial Mindset.
- Analytical & Problem-Solving Skills.
- Communication & Executive Presentation.
- Leadership & Stakeholder Management..
Skills:
Accounts Payable, Microsoft Office, Excel
Job type:
Full-time
Salary:
negotiable
- ตรวจสอบเอกสารการจ่ายเงินและรายการที่เกี่ยวข้อง เพื่อให้ถูกต้อง ครบถ้วน และได้รับการอนุมัติตามขั้นตอน.
- ตรวจสอบและติดตามใบกำกับภาษี หลักฐานการจ่ายเงิน และเอกสารทางการเงินให้ครบถ้วนตามกำหนด.
- ประสานงานกับธนาคารและหน่วยงานภายใน เพื่อเตรียมเอกสารและติดตามธุรกรรมทางการเงิน.
- ดูแลและปรับปรุงทะเบียนข้อมูลที่เกี่ยวข้อง เช่น ทะเบียนเช็ค บัญชีธนาคาร และผู้ใช้งานระบบ Internet Banking.
- ดำเนินการเปิด-ปิดบัญชีธนาคาร สมัครหรือยกเลิกบริการ Internet Banking และปรับปรุงข้อมูลผู้ใช้งาน.
- จัดทำรายงานและสนับสนุนข้อมูลสำหรับการตรวจสอบภายในหรือการตรวจสอบอื่น ๆ ตามที่ได้รับมอบหมาย.
- วุฒิปริญญาตรี สาขาการเงิน การบัญชี บริหารธุรกิจ หรือสาขาที่เกี่ยวข้อง.
- ยินดีรับผู้สมัครที่มีประสบการณ์ หรือผู้จบใหม่ที่มีความสนใจงานด้านการเงิน.
- มีความรู้พื้นฐานเกี่ยวกับงานด้านการเงิน ธุรกรรมธนาคาร หรือระบบการชำระเงิน.
- มีความละเอียดรอบคอบ และสามารถทำงานภายใต้ระยะเวลาที่กำหนดได้.
- มีทักษะการสื่อสารและการประสานงานที่ดี.
- สามารถใช้โปรแกรมคอมพิวเตอร์พื้นฐานได้ โดยเฉพาะ Microsoft Office (Excel, Word, Email).
- มีความซื่อสัตย์และสามารถรักษาความลับของข้อมูลทางการเงินขององค์กรได้.
Skills:
SAP, Microsoft Office, Excel
Job type:
Full-time
Salary:
negotiable
- ตรวจสอบและทบทวนการบันทึกบัญชีในระบบ GL ที่เกี่ยวข้องกับรายได้และค่าใช้จ่ายด้าน A&P ให้ถูกต้องตามโครงสร้างบัญชีขององค์กร.
- ปรับปรุงข้อมูลยอดขายและส่วนลด PCA เพื่อให้สอดคล้องกับระบบและไม่ถูกนำไปคำนวณใน Settlement Rule ของระบบ MPS.
- ดำเนินการปันส่วนค่าใช้จ่ายของบริษัท เช่น TR: RE ตามข้อมูลจากทีมบัญชี AP Center และ AP Site พร้อมจัดทำเอกสารให้ทีม AR ออกใบแจ้งหนี้ และส่งข้อมูลให้ทีม AP Center เพื่อติดตามการเรียกเก็บ.
- คำนวณและปันส่วนค่าใช้จ่ายสาธารณูปโภค เช่น ค่าน้ำประปาและค่าไฟฟ้า ตามข้อมูลมิเตอร์และสัดส่วนที่ได้รับจากทีม M&E เพื่อจัดทำเอกสารสำหรับการออกใบแจ้งหนี้.
- ปันส่วนค่าใช้จ่ายระหว่างหน่วยงาน (Step Branch to Mer) ของ Company Food, Standalone และ RE ให้สอดคล้องกับ Group และ GL ที่กำหนด.
- จัดทำและอัปโหลดรายการปันส่วนใน Ledger M1 ผ่าน Template เพื่อบันทึกเข้าระบบ SAP ให้ถูกต้องตาม Group CCA Direct และ CCA Indirect.
- รวบรวมข้อมูลรายได้และค่าใช้จ่ายด้าน A&P เพื่อวิเคราะห์งบประมาณ และจัดทำรายงานนำเสนอในที่ประชุมของสาขาที่รับผิดชอบ.
- สนับสนุนกระบวนการปิดงบการเงินในส่วนที่เกี่ยวข้องให้เสร็จตามระยะเวลาที่กำหนด.
- ปฏิบัติงานอื่น ๆ ตามที่ได้รับมอบหมาย.
- ปริญญาตรีสาขาบัญชี การเงิน หรือสาขาที่เกี่ยวข้อง.
- มีพื้นฐานด้านงานบัญชี (ยินดีรับนักศึกษาจบใหม่).
- สามารถใช้ Microsoft Office โดยเฉพาะ Excel ได้ดี.
- มีทักษะการประสานงานและการสื่อสารกับหน่วยงานที่เกี่ยวข้อง.
- มีความซื่อสัตย์ รับผิดชอบสูง มีวินัย และตรงต่อเวลา.
- สามารถทำงานภายใต้แรงกดดันและกรอบเวลาที่กำหนดได้.
- หากมีประสบการณ์ด้านบัญชี หรือการใช้ SAP จะได้รับการพิจารณาเป็นพิเศษ..
Skills:
Accounting, Finance, Legal, English
Job type:
Full-time
Salary:
negotiable
- 580+ in-house agents.
- 150+ non-agent team members across product/tech, marketing, supply and operations.
- We serve more than 10,000 buyers, tenants, and property owners every month through a large agent network and an in-house brokerage team.
- Starting in Thailand, we plan to expand internationally. Peers in other markets are Beike in China (USD 32bn in valuation with 550k agents on the platform), Loft and Quinto Andar in Brazil (USD 3bn and 5bn valuation), or Square Yards in India. Their success is an inspiration for us to build the leading property transaction platform across Southeast Asia.
- The company is venture-backed and well-capitalized, with international investors and a long-term ambition to build a category-defining real estate platform in Southeast Asia.
- Why this role existsThis role is created as part of a strategic upgrade of the accounting function, supporting PropertyScout s transition from operational execution to scale-up accounting, accounting financial leadership, and stronger business partnership.
- As the company grows in complexity and scale, we are strengthening financial ownership, controls, and decision support across the organization. This role is designed for a senior finance leader (VP-level) with clear accountability for financial accuracy, governance, team quality, and financial performance management.
- Depending on performance and company evolution, this role may grow into a full CFO position over time.
- MissionOwn financial truth. Build a strong, scalable finance engine. Ensure discipline, accuracy, and transparency across finance, legal coordination, and compliance. Be a trusted partner to the CEO and leadership team. Track and collaborate to achieve financial company objectives.
- Why this is an attractive roleDirect partnership with the CEO and senior leadership.
- Real authority to upgrade team, processes, and standards.
- Broad scope across finance, legal coordination, and finance-related growth initiatives.
- Exposure to company-wide decision-making at scale.
- Clear long-term growth path, including the opportunity to help build a finance organization capable of supporting future capital market readiness (e.g. IPO), should the company pursue that path.
- Core Responsibilities1. Accounting Ownership (Top Priority).
- Full ownership of P&L, Balance Sheet, and Cash Flow.
- Ensure accurate, timely monthly close.
- Personally review financials and reconciliation.
- Own payroll, commissions payments, and revenue recognition logic.
- Build and maintain strong internal controls and audit readiness.
- Lead annual audits and tax processes.
- Team Leadership & Structure.
- Lead, hire, develop, and upgrade the finance & accounting team.
- Ensure accountability and performance across the function.
- Establish and enforce SOPs for closing, reporting, and approvals.
- FP&A & Leadership Partnership.
- Lead budgeting, forecasting, and scenario planning.
- Track performance against financial objectives (revenue, EBITDA, cash flow), highlight and understand and deviations of actuals vs. plan, make actionable proposals to close gaps, identify and recommend opportunities to overachieve targets.
- Prepare board and investor reporting.
- Act as a thought partner to the CEO and leadership team.
- Legal & Compliance.
- Own legal coordination across the company.
- Work with external lawyers, auditors, and tax advisors.
- Oversee contracting processes and approval flows.
- Ensure compliance with Thai regulations.
- Strengthen governance, documentation, and risk management.
- Oversee basic Singapore (SG) statutory and regulatory compliance requirements.
- Act as the primary finance contact for the Singapore accounting firm, coordinating annual compliance, statutory filings, and financial reporting as required.
- Ensure timely submission of statutory documents and maintain proper records for SG entities.
- Proactively identify compliance risks across jurisdictions and recommend corrective actions.
- BOI Compliance & Regulatory Alignment.
- Ensure full compliance with Board of Investment (BOI) conditions applicable to the company, including requirements related to approved positions, minimum salary thresholds, job scope, and employee qualifications.
- Monitor and validate salary structures, payroll, and compensation components to ensure ongoing BOI compliance.
- Coordinate with HR and external advisors to support BOI reporting, audits, and inspections.
- Maintain accurate documentation and records required by BOI and other relevant authorities.
- Proactively identify compliance risks and recommend corrective actions to management.
- Act as the primary finance counterpart for BOI-related financial and compliance matters.
- Structured & Strategic Initiatives Support.
- Support complex initiatives (e.g. financing-related or investment-adjacent projects).
- Build financial models, guardrails, and risk frameworks.
- Coordinate across finance, legal, operations, and external partners.
- Identify and flag risks and constraints early.
- Operational Improvement.
- Identify inefficiencies across finance and adjacent operations.
- Improve financial tooling, data flows, and reporting quality.
- Enable scalable growth with discipline and structure.
- What Success Looks Like (12 months)Clean, trusted, and timely financials.
- No recurring accounting or reporting errors.
- A strong, reliable, and accountable finance team.
- Clear financial visibility for leadership and investors and reliable achievement of financial objectives.
- Finance function trusted as an enabler.
- Profile We re Looking For8+ years experience in finance / accounting.
- Proven experience leading finance or accounting teams.
- Strong hands-on background (not purely strategic), willingness and motivation to work operationally and get personally involved to deliver results in scope and on time.
- Startup or scale-up experience strongly preferred.
- High judgment, ownership mindset, and attention to detail.
- Fluent in English and Thai.
- CompensationFixed salary and title calibrated to experience.
- Health insurance and other employee benefits offered.
- Employees stock options possible for the right candidate.
Job type:
Full-time
Salary:
negotiable
- The F&B Accounting Manager is the senior financial position overseeing all aspects of the food and beverage financial management for The Mall Group's venues. This role is responsible for financial strategy, P&L management, budget oversight, and cost control across all venues. and take care of TMG Accounting for P&L and budget reporting..
- Oversee the preparation and submission of monthly and annual financial reports for all venues.
- 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.
- Track and monitor budget performance, providing monthly forecasts and adjusting financial projections.
- 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.
- Oversee inventory management, ensuring that inventory systems are accurate and reflect the actual usage of goods.
- Manage cash handling and banking activities, ensuring compliance with company policies and safeguarding financial assets.
- Ensure compliance with all relevant financial regulations, including local tax laws, reporting requirements, and industry standards.
- 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.
- Lead a small team of F&B accountants, providing guidance, training and mentorship to ensure adherence to company policies and accurate financial reporting..
- 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.
Skills:
Compliance, Financial Reporting, Accounting
Job type:
Full-time
Salary:
negotiable
- Develop and optimize the internal controls over Finance functions of Krungsri Group. Provide the recommendations to process owners/relevant persons for process improvement of Finance Group.
- Monitor the new or revised Financial Reporting Standards in order to revise the Policy for Group Accounting, perform an impact assessment, and communicate to relevant departments.
- Provide the consultations to the Bank and Krungsri Group s BUs regarding the complia ...
- Bachelor s or Master s degree in Accounting, Finance & Banking, Business Administration, or any related field.
- Minimum 5 years in the area of internal audit, accounting function (Bank or Corporate firms), external audit at Big 4 (highly advantage).
- Knowledge in IFRS, internal control.
- Good knowledge and interested in financial services.
- Talent Acquisition Department Bank of Ayudhya Public Company Limited.
- 1222 Rama III Rd., Bangpongpang, Yannawa, Bangkok 10120.
- Applicants can read the Personal Data Protection Announcement of the Bank's Human Resources Function by typing the link from the image that stated below.
- (https://krungsri.com/b/privacynoticeen).
- Remark: The bank needs to and will have a process for verifying personal information related to the criminal history of applicants before they are considered for employment with the bank.
- Only shortlisted candidates will be contacted"
- FB: Krungsri Career.
- LinkedIn: Krungsri.
- LINE: Krungsri Career.
Skills:
Accounting, Oracle, Financial Reporting
Job type:
Full-time
Salary:
negotiable
- Centralize P2P accounting SSC team who are responsible for handling mass transactional accounting activities related to Account Payable (AP), Account Receivable (AR), Fixed Assets (FA), etc. across Krungsri Group.
- Prepare appropriate environments both related processes and authority requirements to ensure that we provide SSC services to each subsidiary with strong controllership as well as compliance with related regulatory requirements i.e. power of attorney, user authorization to access system, related party transactions, etc.
- Ensure that Accounting SSC team provide excellence services with accuracy, completeness and timely according to their related policies and procedures to minimize any impact or/and potential exposure to subsidiaries.
- Ensure accounting entries related to P2P accounting activities completely generated by Oracle P2P and be reconciled with Oracle P2P GL on timely basis.
- Work closely and coordinate with accounting team of subsidiaries to ensure that Accounting SSC perform, complete, deliver and support business units promptly per their requirements needed.
- Leverage Oracle Finance System and related Finance system platform to optimize related processes continuously for productivity improvement as well as controllership.
- Perform ad hoc assignment.
- Review SSC activities related to Account Payable (AP), Account Receivable (AR), Fixed Assets (FA), etc. across Krungsri Group.
- Bachelor s or Master s degree in Accounting, Finance & Banking, Business Administration, Economics, or any related field.
- Minimum 2 years of experience in accounting or finance, preferably in a shared services or corporate environment. Experience in accounts payable, receivables, general ledger, and financial reporting is required.
- Banking business.
- Accounting position of other businesses e.g. Asset Management, Auto Business, Securities etc.
- Good knowledge of banking services and interested in financial services and technology environments.
- Talent Acquisition Department Bank of Ayudhya Public Company Limited.
- 1222 Rama III Rd., Bangpongpang, Yannawa, Bangkok 10120.
- Applicants can read the Personal Data Protection Announcement of the Bank's Human Resources Function by typing the link from the image that stated below.
- (https://krungsri.com/b/privacynoticeen).
- Remark: The bank needs to and will have a process for verifying personal information related to the criminal history of applicants before they are considered for employment with the bank.
- Only shortlisted candidates will be contacted"
- FB: Krungsri Career.
- LinkedIn: Krungsri.
- LINE: Krungsri Career.
Skills:
Accounting, Oracle, Financial Reporting
Job type:
Full-time
Salary:
negotiable
- Centralize P2P accounting SSC team who are responsible for handling mass transactional accounting activities related to Account Payable (AP), Account Receivable (AR), Fixed Assets (FA), etc. across Krungsri Group.
- Prepare appropriate environments both related processes and authority requirements to ensure that we provide SSC services to each subsidiary with strong controllership as well as compliance with related regulatory requirements i.e. power of attorney, user authorization to access system, related party transactions, etc.
- Ensure that Accounting SSC team provide excellence services with accuracy, completeness and timely according to their related policies and procedures to minimize any impact or/and potential exposure to subsidiaries.
- Ensure accounting entries related to P2P accounting activities completely generated by Oracle P2P and be reconciled with Oracle P2P GL on timely basis.
- Work closely and coordinate with accounting team of subsidiaries to ensure that Accounting SSC perform, complete, deliver and support business units promptly per their requirements needed.
- Leverage Oracle Finance System and related Finance system platform to optimize related processes continuously for productivity improvement as well as controllership.
- Perform ad hoc assignment.
- Review SSC activities related to Account Payable (AP), Account Receivable (AR), Fixed Assets (FA), etc. across Krungsri Group.
- People Development - develop and improve skills, knowledge and expertise of Coachs Team member by providing them with training and arranging knowledge testing in order to improve SSC productivity and effectiveness.
- Bachelor s or Master s degree in Accounting, Finance & Banking, Business Administration, Economics, or any related field.
- Minimum 10 years of experience in accounting or finance, preferably in a shared services or corporate environment. Experience in accounts payable, receivables, general ledger, and financial reporting is required.
- Banking business.
- Accounting position of other businesses e.g. Asset Management, Auto Business, Securities etc.
- Good knowledge of banking services and interested in financial services and technology environments.
- At least 5 years of experience in managing team.
- Talent Acquisition Department Bank of Ayudhya Public Company Limited.
- 1222 Rama III Rd., Bangpongpang, Yannawa, Bangkok 10120.
- Applicants can read the Personal Data Protection Announcement of the Bank's Human Resources Function by typing the link from the image that stated below.
- (https://krungsri.com/b/privacynoticeen).
- Remark: The bank needs to and will have a process for verifying personal information related to the criminal history of applicants before they are considered for employment with the bank.
- Only shortlisted candidates will be contacted"
- FB: Krungsri Career.
- LinkedIn: Krungsri.
- LINE: Krungsri Career.
Skills:
Accounting, Finance, Analytical Thinking
Job type:
Full-time
Salary:
negotiable
- Bachelor s degree or higher in Accounting, Finance, Business Administration, or a related field.
- Minimum of 5 years of experience in auditing; experience in the retail industry is preferred.
- Strong initiative, analytical thinking, and effective communication skills.
- Proven leadership ability with strong teamwork skills.
- Proficiency in MS Office and SAP ERP systems.
- Able to travel to branches within Bangkok as required..
- Work location: The Mall Ramkhamhaeng and other branches.
Job type:
Full-time
Salary:
negotiable
- To audit internal process
- Prepare documentations and arrange necessary items for Audit Committee Meetings
- Audits Interested Person Transactions (IPT) and prepare IPT reports
- Prepare Standard Operating Procedures of IPT working process
- Perform audit procedures according to the audit plan such as IPT audit, Sanctions Program audit
- Prepare reports and preserves documentation pertaining to audits for internal record
- Ensure assigned projects are completed in a timely manner
- Prepare audit programs in English
- Work and travel either to upcountry or abroad with director when required
- Perform admin tasks of the team
- Perform other duties as assigned by management
- Bachelor's Degree in Accounting, Finance or other related fields
- Over 3-5 years of working experience as an Internal Audit
- Excellent command of English in both speaking and writing
- Having experience attending AC meetings is an advantage.
- Office of Human Capital
- Chang International Company Limited
- Thaibev Quarter Building, 8-9th Floor, Ratchadaphisek Rd., Khlong Toei, Bangkok 10110.
Job type:
Full-time
Salary:
negotiable
- Educations Background(การศึกษา) ปริญญาตรีสาขาบริหารธุรกิจ บัญชี.
- มีประสบการณ์ในการตรวจสอบภายในอย่างน้อย 1-2 ปีขึ้นไป.
- มีความรู้และทักษะด้านการฟัง พูด อ่าน และเขียนภาษาต่างประเทศในระดับดี.
- มีความเข้าใจในการดำเนินธุรกิจของบริษัท ในส่วนที่จำเป็นต่อการปฏิบัติงานตรวจสอบ.
- มีความรู้ด้านการตรวจสอบภายใน การบัญชี การควบคุมภายในและภาษีอากร.
- มีทักษะในการเลือกใช้เทคนิคการตรวจสอบภายใน เทคนิคการนำเสนอและมีการจัดการอย่างเป็นระบบ.
- ติดต่อสอบถาม.
- คุณอภิชญา [email protected].
- สำนักทรัพยากรบุคคล.
- บริษัท ไทยเบฟเวอเรจ จำกัด (มหาชน).
- อาคารแสงโสม ถ.วิภาวดีรังสิต แขวงจอมพล เขตจตุจักร กรุงเทพฯ 10900.
Skills:
Accounting, Compliance, Finance, English
Job type:
Full-time
Salary:
negotiable
- Maintain and update accounting records and files.
- Perform monthly, quarterly, and annual accounting closing and balance sheet reconciliation.
- Conduct accounting analysis and summarize all concerned issues with appropriate recommendations.
- Identify GAAP differences between local accounting standards and group accounting policies and prepare adjustment entries for consolidation purposes.
- Prepare financial statements and ensure accuracy, completeness, and compliance with local accounting standards.
- Supervise the completion of local tax filing.
- Corporate consolidation function.
- Assist in monthly, quarterly, and annual consolidation closing and prepare appropriate financial statements.
- Ensure that all consolidated financial statements are prepared by relevant accounting standards and SET rules/regulations.
- Continuously evaluate, improve, implement, and monitor key consolidation and reporting processes.
- Prepare and verify consolidated data to ensure proper accounting procedures have been followed.
- Analyze consolidated management accounts, including identifying key concerned issues and coming up with appropriate recommendations.
- Coordinate with external auditors and accounting teams to complete quarterly financial statement reviews and annual audits.
- Bachelor s Degree or Master's (Preferred) in Accounting and Finance or any related fields.
- Minimum 5 years of experience in related roles.
- Strong accounting and analytical skills.
- Demonstrated strong leadership, team building, and advanced coaching skills.
- SAP experience is a plus.
- Good English skills.
Skills:
Compliance
Job type:
Full-time
Salary:
negotiable
- Minimum Cum. GPA 3.00.
- การศึกษา: ปริญญาตรี/โท สาขาบริหารธุรกิจ ระบบสารสนเทศทางการบัญชี (AIS), วิศวกรรม คอมพิวเตอร์, เทคโนโลยีสารสนเทศ (MIS).
- คะแนน TOEIC ไม่ต่ำกว่า 550 คะแนน.
- ประสบการณ์ทำงาน: มีประสบการณ์ผ่านงานตรวจสอบ IT อย่างน้อย 2 ปีขึ้นไป หรือมีประสบการณ์การทำงานอย่างน้อย 3 ปีขึ้นไป.
- อื่น ๆ: ใบประกอบวิชาชีพที่เกี่ยวข้อง เช่น CISA, CIA, CPIATจะเป็นประโยชน์ต่อการพิจารณา.
- Skill: Having knowledge and experience with IT risk, IT control, IT security and compliance, IT governance or IT audit Good analytical skills and problem-solving skills Good communication and presentation both Thai and English Ability to work independently.
Accounting - General Job Description and duties.
Accounting is the process of recording, summarizing, analyzing, and reporting financial transactions of a business. It is the language of business and is used to communicate the financial health of a company. Accounting is a critical component of any business, as it provides the necessary information to make informed decisions.Overview:
Accounting is the process of recording, summarizing, analyzing, and reporting financial transactions of a business. It is the language of business and is used to communicate the financial health of a company. Accounting is a critical component of any business, as it provides the necessary information to make informed decisions.
Common Responsibilities:
Maintaining financial records:
This includes recording and tracking all financial transactions of the business.
Preparing financial statements:
This includes preparing income statements, balance sheets, and cash flow statements.
Analyzing financial data:
This includes analyzing financial data to identify trends and make recommendations.
Managing budgets:
This includes creating and managing budgets to ensure the business is operating within its financial means.
Auditing financial records:
This includes auditing financial records to ensure accuracy and compliance with laws and regulations.
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