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อัปโหลดเรซูเม่ของคุณ
AI ของเราจะอ่านให้ แล้วหางานที่ใช่สำหรับคุณ
อัปโหลดเรซูเม่ทักษะ:
Recruitment, Thai
ประเภทงาน:
งานประจำ
เงินเดือน:
สามารถต่อรองได้
- Partner with RMs and Business Channels to deliver trade finance solutions, market insights, and value-added advisory.
- Grow trade revenue, outstanding balances, and wallet share through proactive client engagement and cross-selling initiatives.
- Support clients in optimizing cash flow and mitigating trade-related risks through trade finance and financial supply chain solutions.
- Deliver excellent client experience through responsive service, effective execution, and strong relationship management.
- Analyze portfolio performance and develop strategies to achieve trade outstanding and revenue targets.
- Additional.
- Be a Part of the UOB Family.
- UOB is an equal opportunity employer. UOB does not discriminate on the basis of a candidate's age, race, gender, color, religion, sexual orientation, physical or mental disability, or other non-merit factors. All employment decisions at UOB are based on business needs, job requirements and qualifications. If you require any assistance or accommodations to be made for the recruitment process, please inform us when you submit your online application.
ประสบการณ์:
7 ปีขึ้นไป
ทักษะ:
Accounting
ประเภทงาน:
งานประจำ
เงินเดือน:
สามารถต่อรองได้
- Controlling daily accounting operations.
- Managing the month-end closing process.
- Managing all finance and accounting functions including a full set of accounts, cash flow management and internal control.
- Being responsible for the financial statements, financial packages, budget preparation, cost accounting and cash flow.
- Responsible for accurate completion and timely submission of tax returns, withholding tax, VAT, as well as compliance with tax regulations.
- Reviewing and analyzing of accounting records and tax regulations in compliance with standards, policies and procedures.
- Preparing monthly statutory reports and performing variance analysis and reconciliations of balance sheet items and inter-company transactions.
- Dealing with external parties such as audit firms, banks and the Revenue Department.
- Providing consultation on accounting and financial functions to each business unit.
- Supervising the team to improve financial processes in order to increase efficiency.
- Ensuring accounting practices are in compliance with procedures and internal controls.
- Work close with Director to identity and maximize opportunities to use information to improve business.
- Handling other tasks as assigned.
- Bachelor's degree or higher in Accounting, Finance or MBA qualified.
- At least 10 years' experience in accounting & finance with at least 7 years in a managerial role.
- CPA qualification is preferable.
- Experience in hospitality industry is preferable.
- Experience with ERP software is preferable.
- Strong interpersonal, communication and management skills.
- In-depth knowledge of local accounting practices, tax laws and regulations.
ประสบการณ์:
3 ปีขึ้นไป
ทักษะ:
Financial Reporting, Risk Management, Accounting, Leadership Skill, Budgeting
ประเภทงาน:
งานประจำ
เงินเดือน:
สามารถต่อรองได้
Lead the finance and accounting team in managing all financial functions, including budgeting, forecasting, reporting, and compliance. Develop and implement financial strategies that support the hotel's business objectives and enhance profitability. Ensure accurate and timely financial reporting in accordance with local regulations and corporate standards. Monitor and manage hotel cash flow, capital expenditures, and investment planning. Oversee internal controls, audits, and risk management processes to safeguard hotel assets. Collaborate with department heads to optimize cost con ...
ประสบการณ์:
3 ปีขึ้นไป
ทักษะ:
Procurement, Accounting
ประเภทงาน:
งานประจำ
เงินเดือน:
สามารถต่อรองได้
- Financial & Accounting.
- Review monthly, quarterly and annual financial closing reports with operating units.
- Analyze and interpret financial results for operating units: Porsche / BMW / MINI.
- Ensure timely and accurate submission of reports to head office in Malaysia (MY).
- Highlight any material variances or irregularities to head office and recommend.
- corrective actions.
- Monitor monthly results against budget/forecast.
- Oversee and manage all accounting and financial operations of the group.
- Review and verify GL, AP, AR, Fixed Assets, Inventory, and reconciliation items on a.
- monthly basis for all entities.
- Approve financial transactions and accounting entries prior to posting and closing.
- Lead and review bank reconciliation for all bank accounts.
- Investigate discrepancies, unreconciled items, missing entries, and ensure timely.
- clearing.
- Tax & VAT Management.
- a) VAT (Input/Output), PP.30, PP.36.
- b) Withholding tax: PND.1, 3, 53, 54.
- c) Corporate income tax (mid-year and annual).
- Identify tax risks and provide advisories to head office and local management.
- Aid and ensure all operating units comply with tax laws and regulations.
- Liaise with the Revenue Department during tax audits and provide required documentation.
- Perform annual corporate tax review with tax consultation locally.
- Internal Control / Audit / Legal.
- To drive closure of all internal/external audit findings by ensuring that corrective.
- action plans are implemented timely.
- Audit reviews with internal and external auditors.
- Perform Country Risk Champions, Actions plan and risk monitoring.
- Perform Country Compliance Champions, Actions plan and compliance monitoring.
- Ensure compliance with Thai Accounting Standards (TFRS), tax laws, and group policies.
- Monitor and follow up on all outstanding litigations of operating units and the financial exposure.
- Liaise with legal advisor before management sign off to ensure interest of the.
- Group is well protected.
- Treasury.
- Cash flow planning to ensure maximize fund utilization, minimize funding cost and optimize return on investments.
- Manage working capital requirements within the available facility.
- Liaise with bankers and Motors Division Treasury dept on banking facilities and intra group loan.
- Strategy & CAPEX spending.
- Review Annual Management Plan and coordinate the preparation of the budget with.
- operating units.
- Evaluate and prepare proposals and financial projections for capital investments in.
- Plant & Equipment, Network and other Projects.
- Assist Country head in executing, monitoring and tracking the strategy plans as set.
- forth in the M Plan.
- Others.
- Leading Procurement activities and ensure compliance with procurement policy.
- Perform Tender Committee and Directorship role.
- Good written and verbal communication skills in English and able to work independently.
- Bachelor's degree or professional qualification in Finance & Accounting.
- Minimum 3 years of managerial role within related to automotive, retail or service industry.
- Minimum 2 years' experience in full year cycle of year end closing, audit, tax submission and budgeting.
- Strong experience in Tax, VAT, Bank Reconciliation, and Financial Closing.
- Strong knowledge of Thai accounting standards (TFRS), accounting and tax principle, including Thailand corporate and tax laws.
- Experience and are able to liaise with government department.
ประสบการณ์:
5 ปีขึ้นไป
ทักษะ:
Financial Reporting, Industry trends, Recruitment, Accounting, Leadership Skill
ประเภทงาน:
งานประจำ
เงินเดือน:
สามารถต่อรองได้
- Lead the control and delivery of P&L through proactive budget tracking and cost management.
- Partner with cross-functional teams to ensure financial targets are met and variances are addressed.
- Data Governance and Database Management.
- Maintain and enhance financial databases to ensure accuracy, consistency, and accessibility of data.
- Implement data governance best practices to support reliable reporting and analysis.
- Strategic Projects and Financial Modelling.
- Develop and drive strategic financial models to support operational effectiveness and long-term planning.
- Provide financial insights and scenario analysis to support key business decisions.
- Smart Spending and Investment Optimization.
- Evaluate business cases to ensure smart spending and optimal allocation of resources.
- Collaborate with stakeholders to assess ROI and improve investment efficiency.
- Revenue and Profit Growth Analysis.
- Conduct pack, price, and channel analysis to identify opportunities for revenue and profit maximization.
- Deliver actionable insights to commercial teams to support pricing and portfolio strategies.
- Project Leadership.
- Lead cross-functional initiatives and projects that drive commercial and financial impact.
- Ensure timely execution, stakeholder alignment, and measurable outcomes.
- Who are you?.
- Bachelor's Degree in Finance, Accounting, or an equivalent qualification, with strong commercial finance knowledge and experience.
- Minimum 5 years of managerial experience in a similar finance business partnering role, preferably within a large MNC or listed company environment.
- Proven ability to partner effectively with multiple business units and key stakeholders across functions to support business performance and decision-making.
- Strong leadership, coaching, organizational, and people management skills, with experience leading teams in dynamic and fast-paced environments.
- Excellent verbal and written communication skills in English, with the ability to influence and collaborate with diverse stakeholders.
- Advanced proficiency in MS Excel, Power BI, Planning Analytics, Oracle Fusion, and other ERP systems, with the ability to leverage technology for finance efficiency and reporting.
- Demonstrated capability to identify financial challenges, develop practical solutions, and drive process improvements to enhance performance and operational efficiency.
- Strategic thinker with strong execution skills, high attention to detail, adaptability to changing technologies, regulations, and industry trends, and the ability to work independently with minimal supervision.
- Agencies please note: this recruitment assignment is being managed directly by Blackmores Talent Acquisition team. We will reach out to our preferred agency partners if required. Your respect for this process is appreciated.
ทักษะ:
Product Development, Microsoft Office, Accounting, Budgeting, ISO 14001
ประเภทงาน:
งานประจำ
เงินเดือน:
สามารถต่อรองได้
- provide company over the cost accounting function, including the set-up and review of overhead rates.
- Application of cost accounting requirements/guidance and identification of management risks.
- Identification of corresponding journal entries of Costing.
- Support of budgeting and monthly cost accounting analysis including new product costing.
- Costing Part.
- Plan, organize and direct all the activities of the cost accounting function.
- Setup and review standard cost for "Product Development Module" (Formula, Resource, Operation, Routing, Recipe validity rule) in ORCLE to accurate and make recommendation for further improvement.
- Manage day to day operations of the existing cost accounting function until costing month end process.
- Working with business, monitor on-going cycle counts, ensuring accuracy of inventory counts, analyzing results and any adjustments, investigating variances, and resolving issues through the use of root cause analysis.
- Prepare Management Report Monthly give to all Head of Department.
- Define policies and procedures for all cost activities.
- Proactive analysis of variances and communication of issues and opportunities to operations management.
- Coordinate the preparation of costing for new products with R&D and Business Develop to assist establishment of selling prices.
- Deliver monthly management reports with proper analysis, including manufacturing and budget variances.
- Support the Project Cost Team in the development of a standard costing system.
- Prepare budget year Costing part and inventory cost with Group Finance Director-Manufacturing.
- Other Jobs assign by supervisor.
- Oversee and supervise subordinates.
- Costing - response review material usage each batch, STD cost new product, Lead Team physical count inventory. Other job costing by assign. Accountant -response coordinate with GSSC fixed asset team, Physical count fixed asset and insurance claim, review and collect tax invoice, and documents.
- General Accounting Part.
- Review trial balance for accurate before allocation conversion cost.
- Coordinate with GSSC each factory activity account part.
- Reconcile account concern costing module.
- Prepare and support data to external auditors for costing part each quarter.
- Prepare and support data to internal auditors.
- ปฏิบัติตามระบบและมาตรฐานคุณภาพที่เกี่ยวข้อง เช่น BRC-CP, ISO 9001, GMP Cosmetics,GMP Hazardous, HALAL, ISO 45001, ISO 14001 และ SMETA.
- ปฏิบัติตามกฎ ระเบียบ ข้อบังคับ และนโยบายด้านความปลอดภัย ของบริษัทอย่างเคร่งครัด.
- ควบคุมและบริหารการดำเนินงานในส่วนที่รับผิดชอบ เพื่อลดผลกระทบต่อสิ่งแวดล้อมให้น้อยที่สุด.
- Good analytical and business understanding skills.
- Ability to work independently.
- Good personality, detail oriented and high responsibility.
- Posses relationship management, positive thinking, willing to learn and develop.
- Knowledge Experience in Oracle will be advantage.
- Computer literacy in accounting software and Microsoft Office.
- Good command of English.
- Bachelor's Degree or higher in accounting or related field.
- At least 10 years of relevant experience in cost accounting for manufacturing.
- Not the right fit? Set up email alerts as new job postings become available that meet your interest!.
ประสบการณ์:
5 ปีขึ้นไป
ทักษะ:
Financial Analysis, Microsoft Office, Electronics, Accounting, Leadership Skill
ประเภทงาน:
งานประจำ
เงินเดือน:
สามารถต่อรองได้
- This role is responsible for analysing performance of, support planning and outlook projection in, the TSE-S Consumer Electronics business.
- Support excellent execution of strategic ideas.
- Supporting key decision makers in BU (including Commercial team, Consumer Marketing team, Trade Marketing team, and Supply Chain Management), ensuring they understand financial implications of the decisions they make and have the information and tools they need to make better decisions.
- Support BU teams on analysing performance of TSE-S Consumer Electronics business.
- Role and.
- Support BU, Division and Segment.
- Responsible for driving and analysing performance of, leading the planning and outlook projection in, the Thai Consumer Electronics business.
- Support VD and DA division vision and roadmap to Thailand MP vision. Driving strategic thinking into excellent execution.
- Analyse monthly performance on VD and DA division.
- Division/Segment P&L outlook projection and Annual Management Plan update.
- Provide Important insights that will drive the success of the division.
- Act as partner to the business, driving great performance by producing high quality plans and outlooks, analyzing the business against those plans, identifying risks / opportunities and working with division working team to improve performance.
- Embed a culture and way of working across the division working team through using and developing analysis tools to ensure we are effectively and efficiently managing Flagship and Mass performance.
- Support Channels.
- Analyze monthly performance on Dealer, Modern Trade, On-line, and B2B Channels and key customers.
- Support weekly and monthly Demand and SCM meetings.
- Proactively track performance versus target.
- Channel P&L outlook projection and Annual Operating Plan/Strategic Business Plan update.
- Provide important insights that will drive the success of the channel.
- Integrated Channel - Commercial/Trade Plan and Activity Grid/calendar. Optimize Sales Deduction (SD) investment fund through M&E (ruthless prioritization).Support Marketing ATL, BTL, and RM.
- Responsible for driving and analyzing performance of, leading the Marketing planning and outlook projection in, the Thai Consumer Electronics business.
- Support Consumer Electronics BU vision and roadmap to Thailand MP vision. Driving strategic thinking into excellent execution.
- Analyze monthly performance on CE Marketing spending - ATL, BTL, RM.
- Marketing spending outlook projection and Annual Management Plan update.
- Important insights that will drive the success of the CE.
- Integrated Brand - Marketing Plan and Activity Grid/calendar. Optimize Marketing investment fund through Measurement and Evaluation (M&E). (Ruthless prioritization).
- To lead the ongoing development and management of the M&E (Measurement and Evaluation) process and cross functional team's capabilities to deliver quality M&E learnings on trade and marketing activities/programs.
- Ensure annual M&E timetable and process is signed off and communicated to cross-functional teams.
- To complete H1 and H2 M&E pre-evaluation,.
- To complete H1 & H2 post evaluation and conduct workshop to share learnings.
- To develop activity evaluation tools which are linked to ROI measurement.
- To lead development of M&E capability development for Marketing and Commercial teamInnovations.
- Build business case and lead financial analysis for Innovations projects to ensure financial viability and facilitate Submission/Approval and Review.
- People Leadership.
- Provide leadership, direction, coaching and career development for team of 8 subordinates.
- Skills and.
- Solid technical/functional knowledge in Finance and Accounting. BBA and Master degree in Finance or Accounting from reputable university.
- Relevant work experience in Finance, preferably FMCG exposure. Minimum 5-7 years in Finance manager position with people management exposure.
- Solid experience in budget planning / forecast process and variance analysis.
- Experience in business case and project analysis.
- Experience in analysis effectiveness of trade and marketing spend, as well as channel and product division/segment P&L performance analysis.
- Strong analytical skill.
- Business partnering mindset to work effectively with cross functions.
- Advanced Microsoft Office skills, particularly on Excel.
- Good written and spoken English.
- Exceptional ability to work under pressure, meet tight deadlines, and focus on priorities.
- Strong communication and people skills, able to influence management.
- Strong communication and people skills, able to influence management.
- Please visit Samsung membership to see Privacy Policy, which defaults according to your location. You can change Country/Language at the bottom of the page. If you are European Economic Resident, please click here.
ประสบการณ์:
8 ปีขึ้นไป
ทักษะ:
Accounting, CFA, CPA
ประเภทงาน:
งานประจำ
เงินเดือน:
สามารถต่อรองได้
- Manage and oversee Accounts Payable (AP) and Accounts Receivable (AR) processes, including vendor payments, customer billing, collections, tax-related transactions.
- Review and validate accounting treatment for AP, AR, tax transactions to ensure accuracy, completeness, and compliance with applicable accounting standards and regulations.
- Coordinate with tax consultants, auditors, and government authorities on tax-related matters.
- Ensure all finance operational activities comply with accounting standards, tax regulations, company policies, and internal control requirements.
- Resolve operational issues and discrepancies relating to customer accounts, vendor accounts, and tax transactions in a timely manner.
- Shared Service Accounting and Subsidiary Accounting Support.
- Review and validate accounting adjustment entries to ensure accuracy, completeness, and compliance with applicable accounting standards and company policies.
- Oversee intercompany accounting activities and provide guidance to the Shared Service team to ensure accurate accounting treatment, timely reconciliations and settlements.
- Oversee month-end, quarter-end, and year-end closing activities for Accounting Operations and assigned entities.
- Ensure completeness and accuracy of accounting records.
- Support preparation of statutory reports, audit schedules, and regulatory submissions.
- Ensure compliance with IFRS, local accounting standards, and company accounting policies.
- Controls, Compliance and Process Improvement.
- Ensure operational processes comply with internal controls, governance requirements, and regulatory standards.
- Support internal and external audits by providing necessary documentation and explanations.
- Monitor key operational risks and implement corrective actions where required.
- Lead process enhancements, standardization initiatives, and automation projects to improve efficiency and service quality.
- People Management and Stakeholder Engagement.
- Provide accounting expertise and technical guidance to Finance Operations and Shared Service team members.
- Set individual performance objectives and conduct regular performance reviews.
- Build strong working relationships with internal stakeholders, subsidiary companies, auditors, and service providers.
- Perform other responsibilities and duties periodically assigned by the supervisor in order to meet operational and other requirements.
- Bachelor's Degree in Accounting, or related discipline.
- Master's Degree is an advantage.
- Minimum 8 years of experience in in Accounting, Finance Operations, Accounting, Shared Services, Accounts Payable, Accounts Receivable, or Financial Control functions.
- Minimum 3 years of people management experience.
- Experience in insurance, financial services, or multinational organizations preferred.
- Experience managing accounting activities for multiple legal entities or subsidiaries is preferred.
- CPD is required.
- CPA, ACCA, CFA, or equivalent professional qualification is an advantage.
- Strong knowledge of tax regulations, statutory requirements, and regulatory compliance.
- Strong knowledge of IFRS, local accounting standards, and financial reporting requirements.
- Strong understanding of accounts payable, accounts receivable, general ledger, account reconciliation, accounting adjustments, and month-end closing processes.
- Experience with SAP, Oracle, SUN, or equivalent ERP systems.
- Advanced Microsoft Excel and financial analysis skills.
- Strong communication, stakeholder management, and influencing skills.
- Ability to work independently, manage multiple priorities, and meet tight deadlines.
- Continuous improvement and process automation mindset.
- Strong analytical, problem-solving, and decision-making skills.
- เพื่อให้เป็นไปตามมาตรฐานและนโยบายการคัดสรรบุคลากรของบริษัท เอไอเอ (ประเทศไทย) หลังผ่านการคัดเลือกแล้ว ผู้สมัครต้องได้รับการตรวจประวัติอาชญกรรมก่อนเริ่มงาน ทั้งนี้ บริษัทจะเก็บประวัติอาชญากรรมของท่านตามนโยบายข้อมูลส่วนบุคคลของบริษัท รายละเอียดตามลิงค์แนบ [https://www.aia.co.th/th/about-aia/privacy/candidate].
- In accordance with recruitment policy and hiring standard of AIA (Thailand) Company Limited, after completing the selection process, you are required for criminal background check before joining the company. Your criminal record information will be retained according to the PDPA policy of the company. As per attached link [https://www.aia.co.th/th/about-aia/privacy/candidate].
ทักษะ:
Accounting, Budgeting, SAP
ประเภทงาน:
งานประจำ
เงินเดือน:
สามารถต่อรองได้
- Manage month-end, quarter-end and year-end closing to ensure the accounting closing is completed and appropriate reports are generated as per the process requirements.
- Review P&L during month-end closing to ensure all transactions are accurately posted based on nature of expenses.
- Review B/S reconcile and ensure all balances are supported.
- Analyze financial information and accounting transactions to identify unusual transactions.
- Prepare all supporting information for the annual audit and liaise with the internal & external auditors as necessary.
- Review the transfer pricing documentation such as Disclosure Form and TP Local File before submitting it to Revenue Department.
- Be a local finance point of contact for SEA Finance any inquiry related to Management Reporting, P&L, B/S.
- Engagement Management.
- Work with the engagement team to understand revenue and costs drivers and define appropriate reports for tracking.
- Be a local finance point of contact for any inquire related to engagement, revenue recognition, WIP, lockup and time sheet.
- Budgeting & Forecasting preparation.
- Responsible for the annual budget process & rolling re-forecasting process by liaise with Business partner, Other Functions Leaders and HR as required and appropriate.
- Analyze actual operating expenditures against budgets and provide insights to Senior Manager.
- Others.
- Response in a timely manner to Ad Hoc requests.
- Support special projects for process improvement that are related to SAP CTC, RTR module.
ประสบการณ์:
5 ปีขึ้นไป
ทักษะ:
Accounting
ประเภทงาน:
งานประจำ
เงินเดือน:
สามารถต่อรองได้
- Lead the planning, preparation, consolidation, and monitoring of the company's revenue and expenditure budgets.
- Prepare monthly and quarterly budget plans and performance reports.
- Analyze actual performance against budget and provide recommendations to management.
- Prepare annual budget summaries and support management in financial planning and decision-making.
- Financial Management.
- Control and monitor cash receipts, payments, disbursements, and other financial transactions.
- Oversee the preparation and accuracy of financial and accounting information.
- Manage the company's revenue and expenditure effectively to ensure proper utilization of financial resources.
- Monitor cash flow and provide recommendations to ensure appropriate liquidity and financial efficiency.
- Fixed Asset Accounting & Management.
- Develop, improve, and implement fixed asset accounting systems and processes.
- Ensure accurate recording, control, reconciliation, and reporting of company assets.
- Drive the effective implementation and utilization of the fixed asset accounting system.
- Improve asset management processes to maximize system efficiency and accuracy.
- Accounting & Tax Management.
- Supervise and review the work of accounting team members, including accounting entries, reconciliations, tax calculations, and tax filings.
- Ensure monthly and annual financial closing is completed accurately, completely, and within the required timeline.
- Ensure compliance with applicable accounting standards, tax regulations, and relevant laws.
- Provide professional advice and support on finance, accounting, and taxation matters to other departments.
- Develop and improve accounting processes, systems, and internal controls to maximize operational efficiency.
- Management & Board Reporting.
- Prepare and review financial and accounting reports for presentation to senior management and the Board of Directors.
- Provide financial analysis, key insights, and recommendations to support strategic business decisions.
- Ensure all financial reports are accurate, reliable, and delivered within the required timeline.
- Cost Analysis & Cost Management.
- Analyze and develop cost structures and costing models.
- Monitor operating costs and identify opportunities for cost optimization and efficiency improvement.
- Provide recommendations to management to improve cost control and business profitability.
- Tax Planning.
- Develop and implement effective tax planning strategies in accordance with applicable laws and regulations.
- Monitor tax obligations, tax risks, and compliance requirements.
- Coordinate with relevant internal teams, auditors, and external tax advisors as necessary.
- Financial Statement & Statutory Compliance.
- Oversee the preparation and review of the company's monthly, quarterly, and annual financial statements.
- Ensure financial statements are accurate and compliant with applicable accounting standards and regulatory requirements.
- Be qualified to sign or certify the company's financial statements in accordance with applicable laws and professional requirements.
- Internal Audit & Data Analysis.
- Strengthen internal control processes and support internal audit activities.
- Identify financial and operational risks and recommend appropriate preventive and corrective actions.
- Utilize financial and business data to analyze performance, identify trends, and provide actionable insights for management.
- Support data-driven decision-making and continuous improvement initiatives.
- Team Management & Leadership.
- Lead, manage, coach, and develop the Finance & Accounting team to achieve departmental and organizational objectives.
- Assign responsibilities and monitor team performance to ensure effective and timely execution.
- Promote teamwork, accountability, and continuous improvement within the department.
- Develop team capabilities and ensure appropriate knowledge transfer and succession planning.
- Other.
- Support the Director and Managing Director on financial, accounting, tax, and business-related matters.
- Participate in strategic projects and cross-functional initiatives as assigned.
- Perform other.
- as assigned by management.
- Education.
- Bachelor's degree in accounting is required.
- Master's degree in business administration, Management, or a related field is preferred.
- Experience.
- Minimum 5 years of experience in Accounting, Finance, Budgeting, or related fields.
- Proven experience in team management and leadership.
- Experience in financial reporting, budgeting, tax, cost analysis, and financial management.
- Experience in a senior accounting or finance management role is preferred.
- Knowledge & Skills.
- Strong knowledge of Accounting, Finance, Taxation, Budgeting, and Financial Reporting.
- Strong understanding of Thai accounting standards and tax regulations.
- Strong analytical, problem-solving, and decision-making skills.
- Ability to analyze financial data and translate financial information into business insights.
- Strong Excel and financial system skills.
- Good communication, presentation, and stakeholder management skills.
- Preferred.
- Previous experience with a leading international audit firm, particularly PwC, EY, KPMG, or Deloitte, is highly preferred.
- Experience in Internal Audit, Internal Control, Risk Management, and Data Analytics is an advantage.
- Experience or strong business understanding in the Food & Beverage (F&B) industry is highly preferred.
- CPA qualification is an advantage.
- Legally qualified to sign/certify financial statements in Thailand will be highly preferred.
- KEY COMPETENCIES.
- Strategic Thinking & Business Acumen.
- Financial & Accounting Expertise.
- Leadership & People Management.
- Analytical & Problem-Solving Skills.
- Commercial & Cost Awareness.
- Tax & Regulatory Knowledge.
- Internal Control & Risk Management.
- Process Improvement & System Development.
- Strong Ownership & Accountability.
- Positive Attitude and Professional Integrity.
- Ability to work collaboratively across functions.

อัปโหลดเรซูเม่ของคุณ
AI ของเราจะอ่านให้ แล้วหางานที่ใช่สำหรับคุณ
อัปโหลดเรซูเม่ทักษะ:
Accounting, English
ประเภทงาน:
งานประจำ
เงินเดือน:
สามารถต่อรองได้
- Oversee full accounting operations, including general ledger, AP, AR, fixed assets, and bank reconciliation.
- Prepare monthly, quarterly, and annual financial statements and management reports.
- Ensure accurate recognition of rental income, common fees, and service charges.
- Manage statutory reporting, audits, and tax filings.
- Budgeting, Forecasting & Cashflow.
- Prepare and manage annual budgets for operations, including operating costs and service charges.
- Develop cashflow forecasts to support operational and capital planning.
- Monitor budget vs. actual performance and provide variance analysis.
- Support CAPEX planning related to buildings, infrastructure, and facilities.
- Rental, Service Charge & Collection Oversight.
- Oversee rent and common fee billing, invoicing, and collection processes.
- Monitor accounts receivable, tenant balances, and arrears.
- Establish and enforce credit control and collection procedures.
- Coordinate with management on lease-related financial matters.
- Cost Control & Operational Support.
- Monitor operating costs and service charge expenses to ensure cost recovery and efficiency.
- Support facilities and operations teams with financial analysis and cost planning.
- Identify opportunities for cost optimization while maintaining service quality.
- Review vendor contracts and payment structures in collaboration with management.
- Risk Management, Compliance & Controls.
- Establish and maintain robust internal controls and financial policies.
- Ensure compliance with accounting standards, tax regulations, and internal requirements.
- Identify financial risks and recommend mitigation strategies.
- Support internal and external audits.
- Leadership & Stakeholder Management.
- Lead, coach, and develop the finance and accounting team.
- Work closely with senior management to support decision-making.
- Present financial information clearly to non-financial stakeholders.
- Coordinate with legal, facilities, and external advisors as required.
- Bachelor's degree in Finance, Accounting, or related field.
- 5-10 years' experience in finance and accounting, preferably in property, real estate, education, hospitality, or asset management.
- Strong knowledge of financial reporting, budgeting, and cashflow management.
- Experience with rent, service charge, or cost-recovery accounting is an advantage.
- Strong Excel and MS Office skills; ERP or accounting system experience preferred.
- High level of accuracy, integrity, and attention to detail.
- Strong analytical, problem-solving, and decision-making skills.
- Good English communication skills (Thai-English bilingual advantageous).
- Ability to work independently and manage multiple priorities.
- Leadership, people management, and coaching capability.
- Results-oriented with a practical, hands-on mindset.
ประสบการณ์:
5 ปีขึ้นไป
ทักษะ:
Accounting, Budgeting, Teamwork, Tableau, SAP, CPA, CFA, English, Thai
ประเภทงาน:
งานประจำ
เงินเดือน:
สามารถต่อรองได้
- Commercial Strategy & RGM: Drive regional pricing, profitability, and investment efficiency through deep-dive analytics on product, channel, and customer profitability.
- Financial Planning & Performance: Lead integrated forecasting, budgeting, and monthly business reporting, delivering high-impact financial presentations to senior leadership.
- OPEX & Operational Controls: Manage budgeting and tracking for Brand Expense, COGS, and SG&A, while ensuring P&L closing accuracy, data integrity, and system optimizati ...
- Strategic Leadership: Sit on the SEA Leadership Team to influence regional strategy, while coaching the finance team and partnering cross-functionally to safeguard business performance.
- What You Bring to the Table.
- Commercial Finance Leadership: Proven track record in a Finance Manager, Senior Commercial Finance, or equivalent business partnering role within a multinational consumer goods environment.
- Matrix & Stakeholder Management: Demonstrated experience navigating dual-reporting structures and operating effectively within a regional leadership team environment.
- People Management & Structure: Proven capability in leading, coaching, and developing team members to foster a high-performing finance culture.
- Influence & Challenge: Outstanding communication and interpersonal capabilities, with a proven ability to facilitate discussions, make recommendations, and constructively challenge stakeholders at all levels.
- Language Proficiency: Excellent written and verbal communication skills in English and Thai.
- What Makes You Unique.
- Education: Tertiary education with a Bachelor's or Master's degree in Business, Commerce, Finance, Accounting, or Economics.
- Professional.
- Chartered Financial Analyst (CFA), Certified Public Accountant (CPA), Chartered Accountant (CA), or equivalent financial designation is highly preferred.
- Industry Expertise: 5+ years of commercial finance experience, with significant exposure to the Fast-Moving Consumer Goods (FMCG) sector.
- Technical Systems Mastery: Strong technical capability with financial systems including SAP, Business Warehouse (BW/BI), advanced Excel, PowerPoint, and data visualization software like Tableau.
- Mindset: A proactive, self-motivated approach to imparting finance know-how and a commercial mindset across Sales and Marketing teams to keep the organization aligned with financial targets.
- We believe great people build great brands. And we know there is Nothing Better in the Market than a career at Brown-Forman. Being a part of Brown-Forman means you will grow both personally and professionally. You will have the opportunity to solve problems, seize opportunities, and generate bold ideas. You will belong to a place where teamwork matters and where you are encouraged to bring your best self to work.
- What We Offer.
- Total Rewards at Brown-Forman is designed to engage our people to ensure sustainable and profitable growth for generations to come. As a premium spirits company, we offer equitable pay structures for individual and company performance alongside a premium employee experience. We offer a range of premium benefits that reflect our company values and meet the needs of our diverse workforce.
- LI.
- Employee.
- Leader.
- L3.
ทักษะ:
Risk Management, Product Development
ประเภทงาน:
งานประจำ
เงินเดือน:
สามารถต่อรองได้
- Drive the execution of CIB IECC activities, ensuring effective collaboration with Risk Management and other key stakeholders.
- Track progress against deliverables, ensure accountability, and flag execution risks proactively.
- Collaborate with product partners to deliver tailored insights and contribute to ESG-themed client pitches.
- Support client in ESG-related discussions, including disclosures, taxonomy alignment, risk frameworks, and sustainable finance solutions.
- Collaborate with RM, and support on technical advice during transaction structuring or product development involving sustainability-linked features.
- Work with stakeholders i.e., Risk Management, on climate reporting strategies, ensuring alignment with Bank-wide sustainability and regulatory metrics.
- Oversee timelines, role allocations, and data collection processes for climate disclosures and submissions.
- Collaborate with Risk Management to define climate-related risk appetite and integrate climate risk considerations into existing frameworks.
- Identify, assess, and coordinate mitigation of transition and physical climate risks across business and support functions.
- Monitor evolving climate regulations, disclosure standards, and industry guidance to ensure full compliance across CIB.
- Design and deliver climate-related training programs and build employee competencies in partnership with Learning & Development and HR.
- Master s degree in Business Administration, Sustainability, Environmental Science, Finance, Economics, Risk, or related field.
- 8-12 years of experience in climate/ESG risk management, sustainability reporting, regulatory compliance, or related roles in financial services.
- Familiarity with Investment Banking, Project Finance or Corporate Banking and ESG product structuring.
- Experience advising clients on ESG strategies, disclosures, or risk frameworks.
- Strong knowledge of climate-related disclosure frameworks, climate risk principles, and ESG data reporting.
- Experience executing cross-functional programs or initiatives with multiple internal stakeholders.
- Solid understanding of risk management principles, preferably with exposure to credit, market, or operational risk functions.
- Ability to work cross-functionally and manage multiple priorities in a fast-paced.
ประสบการณ์:
2 ปีขึ้นไป
ทักษะ:
Google Analytics, Purchasing, Automation, YouTube, SAP
ประเภทงาน:
งานประจำ
เงินเดือน:
สามารถต่อรองได้
- Support general accounting activities, including general ledger recording and accounting for inventory, accounts receivable, accounts payable, tax, corporate finance, treasury, etc. Prepare the relevant financial information as inputs to analysis and financial reports preparation.
- General Responsibilities.
- Provide day-to-day support to the Client Support team in billing, invoicing, and documentation.
- Coordinate with commercial teams and clients regarding billing inquiries and transaction follow-ups.
- Verify client data and ensure accuracy of financial information before processing invoices.
- Assist in reconciliation of accounts receivable and resolving outstanding issues with clients.
- Maintain proper documentation of invoices, receipts, and financial correspondence.
- Ensure compliance with internal control processes and company policies.
- Collaborate with internal departments such as Sales, Customer Service, and Supply Chain to resolve finance-related issues.
- Support monthly, quarterly, and year-end closing activities related to client transactions.
- Perform ad hoc duties and reporting as assigned by Finance Supervisor/Manager.
- Functional Skills and Knowledge.
- Bachelor's degree in Accounting, Finance, Business Administration, or a related field.
- 0 - 2 years of experience in finance, accounting, or client support (fresh graduates are welcome).
- Basic knowledge of accounting principles and financial processes.
- Good communication and interpersonal skills in both Thai and English.
- Proficiency in Microsoft Excel and familiarity with ERP systems (e.g., SAP) is a plus.
- Detail-oriented, organized, and able to manage multiple tasks efficiently.
- Strong team player with a service-minded attitude.
- Education.
- Diploma or professional qualification in Accounting/Finance or a related discipline.
ประสบการณ์:
5 ปีขึ้นไป
ทักษะ:
Accounting
ประเภทงาน:
งานประจำ
เงินเดือน:
฿60,000 - ฿85,000, สามารถต่อรองได้
- Overseeing day-to-day accounting operations including accounts payable, accounts receivable, general ledger management, and bank reconciliations.
- Preparing and presenting monthly, quarterly and annual financial statements and management reports.
- Managing budgeting processes and monitoring budget versus actual performance across departments.
- Conducting financial analysis and variance analysis to identify trends and provide recommendations for cost optimisation.
- Ensuring compliance with Thai accounting standards, tax regulations, and other relevant financial legislation.
- Overseeing the accounting team, providing supervision, mentoring and guidance on accounting policies and procedures.
- Managing audit processes and liaising with external auditors and regulatory authorities.
- Implementing and maintaining effective internal controls and accounting systems.
- Preparing and analysing financial forecasts and cash flow projections.
- Supporting senior management with financial planning and strategic decision-making.
- What we're looking for.
- Bachelor's degree in Accounting, Finance, or a related field.
- Professional accounting qualification (ACCA, CPA, or equivalent) is preferred.
- Minimum 5 years' experience in accounting and finance management roles.
- Strong knowledge of Thai accounting standards and tax regulations.
- Proven experience with financial reporting, budgeting and forecasting.
- Proficiency in accounting software and Microsoft Office applications, particularly Excel.
- Experience in the healthcare industry is highly desirable.
- Strong analytical and problem-solving skills with attention to detail.
- Excellent communication and interpersonal skills in both Thai and English.
- Leadership experience with the ability to manage and develop team members.
- Knowledge of internal controls and risk management practices.
- What we offer.
- At Gateway Healthcare Ltd., we are committed to supporting our employees' professional growth and wellbeing. We offer a competitive compensation package commensurate with experience and qualifications. Our benefits include health insurance coverage, professional development opportunities, and training support for continued learning and career advancement. We foster a collaborative work environment where your contributions are recognised and valued. We believe in work-life balance and provide a supportive workplace culture that encourages innovation and excellence. We are an equal opportunity employer and welcome applications from all qualified candidates.
- About us.
- Gateway Healthcare Ltd. is a dynamic and growing healthcare organisation dedicated to delivering high-quality medical services and solutions in Thailand. Our mission is to provide accessible, affordable, and excellent healthcare services to our patients and communities. With a team of dedicated healthcare professionals and support staff, we are committed to innovation, integrity, and customer-centric care. We pride ourselves on our strong values of compassion, excellence, and social responsibility. As an employer, we are committed to creating an inclusive, supportive workplace where our employees can thrive professionally and personally.
- If you meet the above requirements and are interested in joining our team, please submit your CV, cover letter, and relevant qualifications to our Human Resources department. We look forward to hearing from you.
ประสบการณ์:
1 ปีขึ้นไป
ทักษะ:
Analytical Thinking, Financial Modeling, Data Analysis, Accounting, Power BI
ประเภทงาน:
งานประจำ
เงินเดือน:
สามารถต่อรองได้
- Coordinate and support subsidiaries and associate companies in the preparation of annual business plans, budgets, and financial forecasts in line with the Group's direction and goals.
- Monitor and analyze operational and financial performance by comparing actual results against budgeted figures and key performance targets (Budget vs. Actual Analysis).
- Conduct variance analysis to identify key drivers of performance gaps and provide recommendations for corrective actions and business improvement initiatives.
- Prepare consolidated management reports, financial analyses, and executive summaries to support strategic decision-making by senior management.
- Develop financial models, forecasts, and scenario analyses to support business planning, investment decisions, and corporate financial management activities.
- Track and evaluate key performance indicators (KPIs) of subsidiaries and associate companies, ensuring timely reporting and follow-up on action plans.
- Support the assessment of investment opportunities, corporate projects, and asset management initiatives, including analysis of risks, returns, and financial implications.
- Develop and maintain performance dashboards and reporting tools to enhance monitoring, transparency, and management oversight across the Group.
- Collaborate with internal stakeholders and external parties to gather information, conduct analyses, and support corporate planning and asset management activities.
- Ensure the accuracy, completeness, and compliance of financial reports, documentation, and analyses with applicable policies, regulations, and corporate governance requirements.
- Provide analytical support and recommendations to improve the effectiveness of the Corporate Financial Planning and Asset Management function and contribute to the achievement of the Group's long-term objectives.
- Bachelor's degree in Finance, Accounting, Economics, or a related field.
- 1-3 years of experience in financial planning, analysis, investment analysis, or asset management (new graduates with strong analytical skills may be considered).
- Strong understanding of basic financial concepts, investment principles, and financial statements.
- Proficiency in financial modeling, data analysis, and Microsoft Excel.
- Experience with financial software or BI tools (e.g., Power BI, SAP, Oracle) is a plus.
- Strong analytical thinking, problem-solving skills, and attention to detail.
- Good communication and presentation skills.
- Ability to work collaboratively with different teams and handle multiple tasks in a fast-paced environment.
ทักษะ:
Accounting
ประเภทงาน:
งานประจำ
เงินเดือน:
สามารถต่อรองได้
- ร่วมกำหนดกลยุทธ์ด้านการควบคุมดูแลระบบการเงินและงบประมาณประจำปีของบริษัท.
- สามารถวางแผน ควบคุมและตรวจสอบ ระบบภายในบริษัทให้ถูกต้องตามนโยบายของบริษัทและนโยบายของภาครัฐ.
- ควบคุมดูแลและจัดทำรายงานรายรับ-รายจ่ายของบริษัทฯเพื่อให้เกิดความมั่นใจว่าได้มีการปฏิบัติงานตามกรอบนโยบาย เป้าหมาย งบประมาณรายได้ และค่าใช้จ่ายตามที่ได้กำหนดไว้.
- ร่วมรับผิดชอบการวางแผนงานด้านบัญชี-การเงิน เพื่อการควบคุมและตรวจสอบ ให้รายรับ-รายจ่ายขององค์กรเป็นไปอย่างมีประสิทธิภาพ.
- เป็นที่ปรึกษาให้ผู้บริหาร เรื่องสถานะทางการเงินและสภาพคล่องของบริษัท.
- สามารถวางแผน ควบคุมและตรวจสอบ การจัดทำบัญชีให้ทำงานได้ตามมาตรฐานและทันต่อเวลา.
- วางแผนและยื่นเรื่องภาษีของนิติบุคคล ภาษีมูลค่าเพิ่ม ภาษีบุคคลธรรมดาที่ฝ่ายบัญชี การเงินต้องรับผิดชอบ.
- บริหารการปิดบัญชีและวิเคราะห์งบฯ ส่งผู้บริหารหรือ External Auditor.
- ดูแลสถานะทางการเงิน และสภาพคล่องของบริษัท.
- งานอื่น ๆ ที่ได้รับมอบหมายจากผู้บังคับบัญชา.
- วุฒิการศึกษา ปริญญาตรี ขึ้นไป สาขาบัญชี/การเงิน.
- มี CPA License จะพิจารณาเป็นพิเศษ.
- มีประสบการณ์ด้านบัญชีบริหาร อย่างน้อย 10 ปี ขึ้นไป (หากมีประสบการณ์ธุรกิจด้าน Trading จะพิจารณาเป็นกรณีพิเศษ).
- มีประสบการณ์ในระดับบริหารระบบงานบัญชีและการเงินอย่างน้อย 5 ปี.
- สามารถใช้ภาษาอังกฤษ ได้ในระดับดี.
- มีทักษะในการใช้คอมพิวเตอร์ MS Office และ/หรือ Program บัญชีสำเร็จรูปอื่น ๆ ได้เป็นอย่างดี.
- ผู้สนใจกรุณาส่งประวัติส่วนตัวพร้อมหลักฐานการสมัครงานที่ " APPLY NOW ".
- ฝ่ายทรัพยากรบุคคลและธุรการ กลุ่มบริษัทแบงเทรดดิ้ง.
- 999/99 ชั้น 5 อาคาร แบงเทรดดิ้ง กรุ๊ป ถนนพระรามที่ 9 แขวง/เขต สวนหลวง กรุงเทพฯ 10250.
ทักษะ:
Financial Reporting, Financial Analysis, Risk Management, Accounting, Leadership Skill
ประเภทงาน:
งานประจำ
เงินเดือน:
สามารถต่อรองได้
- Financial Strategy: Develop and implement financial strategies to support the company's goals and objectives in Indonesia. Budgeting and Forecasting: Oversee the preparation of Indonesia's budgets and financial forecasts, ensuring accuracy and alignment with company targets. Financial Reporting: Ensure timely and accurate financial reporting, including monthly, quarterly, and annual reports. Compliance: Ensure compliance with local and international financial regulations and standards. Risk Management: Identify and manage financial risks, developing strategies to mitigate these ris ...
- Preferred Skills.
- Min 10 years of relevant experience Strong knowledge of financial management, accounting principles, and financial regulations. Excellent analytical and problem-solving skills. Outstanding communication and leadership skills. High degree of professional ethics, integrity, and responsibility. Proven ability to manage multiple stakeholders and complex financial matters. Experience in managing finance operations in Indonesia. Strong network within the finance and regulatory sectors in Indonesia. Demonstrated leadership abilities and experience in a senior finance role.
ทักษะ:
Accounting
ประเภทงาน:
งานประจำ
เงินเดือน:
฿90,000 - ฿120,000, สามารถต่อรองได้
- Knowledge in Tax Management.
- Monitor all the transactions related to the company.
- Take care of Inter-company transaction.
- Reconciliation and prepare reports to Headquarters (Singapore.).
- Oversee and account for principal practice in accordance with principal agreement.
- Develop and maintain the company's system of accounts and utilize automated financial system to ensure the correctness and completeness on all company transactions.
- Coordinates with headquarter to directs the preparation of the budget and financial forecasts, institutes and maintains other planning and control procedures and analyzes and reports variances including conduct financial project as required by group.
- Manage accounting-related internal controls to ensure compliance with the requirement of local standards.
- Manage and lead the accounting team, ensuring accuracy and timeliness of all financial reporting and reconciliations for operations.
- Manage finance and accounting related internal controls to ensure compliance with the requirement of local standards.
- Prepare account and management analysis information.
- Coordinate with Accounting Auditor and Revenue Department regarding statutory and accounting compliance matters.
- Oversee G/L operations, ensuring journal entries and transactions are correctly input and posted.
- Review tax submission monthly, provide yearly tax.
- Propose process and systems improvements required.
- Review BS reconciliation, Monthly.
- Adhoc as assigned.
- Bachelor's or master's degree in accounting.
- Experience of accounting, GL, managerial accounting and closing monthly reports for at least 5 years.
- CPD License is required.
- Good command in English (Writing & Verbal).
- Strong analytical and problem-solving skills.
ทักษะ:
Financial Reporting, Financial Modeling, Risk Management, Accounting, Leadership Skill
ประเภทงาน:
งานประจำ
เงินเดือน:
สามารถต่อรองได้
- Develop and execute financial strategies to improve operational efficiency and support business growth across the Asia Pacific region.
- Lead the annual budgeting, forecasting, and financial planning processes, ensuring alignment with corporate objectives and optimal utilization of resources.
- Partner with business leaders and cross-functional stakeholders to maintain accurate financial reporting and ensure compliance with internal controls, accounting standards, and regulatory requirements.
- Analyze financial performance, monitor key performance indicators (KPIs), and provide actionable insights and recommendations to senior management to support strategic decision-making.
- Oversee the implementation, enhancement, and optimization of financial systems, tools, and reporting processes to improve efficiency, data integrity, and reporting accuracy.
- Drive continuous process improvement initiatives within finance shared services operations to enhance productivity, standardization, and service quality.
- Develop and deliver training programs on finance policies, procedures, and compliance requirements to strengthen organizational capability and promote accountability.
- Coordinate and manage relationships with external auditors, ensuring timely preparation and submission of financial statements and audit documentation.
- Prepare and present comprehensive financial reports, management dashboards, and business performance analyses for regional leadership meetings.
- Support governance, risk management, and compliance activities to safeguard financial controls and maintain adherence to company policies and external regulations.
- Your Profile You contribute.
- Bachelor's degree or higher in Accounting, Finance, Business Administration, or a related field; MBA is an advantage.
- CPA qualification is required.
- Minimum 10 years of progressive finance and accounting experience, including leadership responsibilities within multinational organizations.
- Prior experience with a audit firm and multinational corporate environment.
- Strong expertise in IFRS, group accounting, financial reporting, consolidation, and statutory compliance.
- Proven experience managing finance shared services, regional finance operations, and transformation initiatives.
- Knowledge of APAC tax regulations, financial governance, and compliance requirements across multiple jurisdictions.
- Demonstrated ability to manage audits, strengthen internal controls, and drive regulatory compliance.
- Strong treasury management experience, including banking relationships, cash flow forecasting, and working capital optimization.
- Advanced proficiency in ERP systems (SAP preferred), Microsoft Excel, financial modeling, and reporting tools such as Power BI or Hyperion.
- Excellent analytical, problem-solving, and strategic thinking capabilities with a strong business partnering mindset.
- Strong leadership, stakeholder management, and communication skills, with the ability to influence senior executives and cross-functional teams.
- Fluent in English, both written and spoken.
- Your application Interested? Apply online now!.
- Have we sparked your interest? Then send us your application! You can expect exciting challenges that provide real impetus, in a team that motivates and supports you at the same time - and framework conditions that are not only attractive but also adapt to your life.
- To get us talking quickly, simply send us your application via our online form - it takes less than 5 minutes!.

ประเมินเงินเดือน
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