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ทักษะ:
Accounting, Budgeting
ประเภทงาน:
งานประจำ
เงินเดือน:
สามารถต่อรองได้
- Establish an efficient flow of information between departments and Executive Team and automate where possible.
- Ensure best practice management accounting and business support.
- Assist in the delivery of Management and Board reports in a timely and accurate manner.
- Ensure balance sheet accounts are reconciled on a monthly basis.
- Assist in the forecasting and budgeting process within the company and its ongoing development and improvement process.
- Ensuring compliance requirements are met.
- Sales, Gross Profit, Labor, and Store Operating Expense modeling and reporting.
- Coaching - providing timely guidance and feedback to help others strengthen specific knowledge/skill areas needed to accomplish a task or solve a problem.
- Sales and expense planning during the annual budget process.
- Perform ad-hoc analysis and other job-related duties as needed.
ประสบการณ์:
1 ปีขึ้นไป
ทักษะ:
Financial Reporting, Accounting, Budgeting
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.
- Monitor and reconcile inventory reserves, shrink and obsolescence where necessary.
- Financial Leadership & Strategy.
- Lead the financial planning and analysis (FP&A) function, including budgeting, forecasting, and long-term financial strategy.
- Provide strategic financial insights to support business decisions and improve profitability.
- Partner with operations and senior leadership to drive cost efficiency and margin improvement.
- Financial Reporting & Compliance.
- Oversee the preparation of accurate and timely monthly, quarterly, and annual financial statements in accordance with GAAP/IFRS.
- Perform in-depth financial analysis and prepare comprehensive monthly reporting packages for presentation to the management team, highlighting key performance indicators, variances, and actionable insights.
- Lead the presentation of monthly financial and operational performance during the Monthly Operating Review (MOR), ensuring clarity, accuracy, and alignment with business objectives.
- Ensure compliance with all financial regulations and reporting requirements.
- Coordinate internal and external audits and manage relationships with auditors.
- Work closely with the Global Shared Service Center (GSSC) to ensure accurate and timely accounting entries, resolve discrepancies, and maintain alignment with corporate accounting standards.
- Cost Accounting & Manufacturing Finance.
- Manage and improve cost accounting processes, including standard costing, variance analysis, and inventory valuation.
- Analyze production costs and recommend actions to optimize cost structures.
- Collaborate with plant managers and supply chain teams to monitor and control manufacturing expenses.
- Work closely with business units to monitor ongoing cycle counts, ensuring accuracy of inventory records. Analyze results and adjustments, investigate variances, and resolve issues using root cause analysis.
- Support unit cost calculation and selling price determination for new product development, ensuring alignment with financial targets and market competitiveness.
- Internal Controls & Risk Management.
- Develop, implement, and monitor internal controls to safeguard company assets and ensure financial integrity.
- Identify financial risks and implement mitigation strategies.
- Ensure adherence to corporate policies and procedures.
- Team Leadership & Development.
- Lead and mentor the finance team, fostering a culture of accountability, continuous improvement, and professional growth.
- Set clear performance objectives and conduct regular evaluations.
- Support succession planning and talent development within the finance function.
- Systems & Process Improvement.
- Drive automation and digitalization of financial processes to improve efficiency and accuracy.
- Lead ERP system enhancements and ensure data integrity across financial systems.
- Champion best practices in financial operations and reporting.
- Strategic Projects & Business Support.
- Support M&A activities, capital investment analysis, and other strategic initiatives.
- Provide financial modeling and scenario analysis for business cases and investment decisions.
- Perform feasibility studies for new projects, ensuring sound financial justification and alignment with strategic goals.
- Evaluate and monitor return on investment (ROI) for new initiatives, providing recommendations to optimize financial outcomes.
- Act as a key business partner to cross-functional teams.
- Take ownership of ad-hoc financial analysis, reporting, and strategic assignments as directed by the Group Director-Finance, ensuring timely and high-quality delivery.
- Standards Maintenance & Compliance.
- Maintain and ensure adherence to company and regulatory standards related to Quality, Safety, Hygiene, Environment, Good Manufacturing Practices (GMP), and other standards and compliance.
- Collaborate with relevant departments to support audits, inspections, and continuous improvement initiatives.
- Promote a culture of compliance, accountability, and continuous improvement across all financial operations.
- Bachelor's degree in Finance, Accounting, or related field.
- Minimum of 8 - 10 years of progressive experience in finance roles, preferably within manufacturing.
- Strong knowledge of cost accounting, financial reporting standards, and compliance.
- Experience working with ERP systems and financial reporting tools.
- Proven leadership and team management skills.
- Excellent analytical, communication, and presentation skills.
- Ability to work collaboratively across functions and with global teams.
- Good command of English.
ทักษะ:
Budgeting
ประเภทงาน:
งานประจำ
เงินเดือน:
สามารถต่อรองได้
- ควบคุมและตรวจสอบความถูกต้องของตัวเลข (Data Accuracy Control - Front & Back Office).
- ตรวจสอบความถูกต้องของข้อมูลการขายจากทุกช่องทาง (Modern Trade, Traditional Trade, E-Commerce) ให้ตรงกับข้อมูลบัญชีและคลังสินค้า.
- กระทบยอด (Reconcile) ข้อมูลระหว่างระบบขาย (Front-end) กับระบบบัญชี (Back-end) เป็นประจำ.
- ตรวจสอบเอกสารทางบัญชี ใบกำกับภาษี ใบลดหนี้/เพิ่มหนี้ ให้ถูกต้องตามมาตรฐานบัญชีและกฎหมายภาษี.
- ควบคุมคุณภาพของข้อมูลที่ป้อนเข้าระบบจากทุกแผนกที่เกี่ยวข้อง.
- จัดทำและนำเสนอรายงานทางการเงินประจำเดือน/ไตรมาส/ปี ให้ผู้บริหารอย่างถูกต้องและตรงเวลา.
- บริหารกระแสเงินสด และควบคุม AP/AR (Cashflow, AP & AR Management).
- จัดทำและติดตาม Cashflow Forecast ทั้งระยะสั้นและระยะยาว.
- ควบคุมการรับ-จ่ายเงินให้สอดคล้องกับสภาพคล่องของบริษัท.
- บริหารบัญชีลูกหนี้ (AR) ติดตามการชำระเงินจากคู่ค้า Modern Trade/Traditional Trade/E-Commerce ให้เป็นไปตามเครดิตเทอม ลด Bad Debt.
- บริหารบัญชีเจ้าหนี้ (AP) วางแผนการจ่ายเงินให้ Supplier/Vendor ให้สอดคล้องกับกระแสเงินสด.
- วิเคราะห์และแก้ไขปัญหาสภาพคล่องล่วงหน้า พร้อมเสนอแนวทางบริหารความเสี่ยงทางการเงิน.
- ประสานงานกับธนาคาร สถาบันการเงิน กรณีต้องใช้วงเงินสินเชื่อ/Trade Finance.
- จัดทำและวิเคราะห์งบกำไรขาดทุน (P&L by Channel & by Product).
- จัดทำ P&L แยกตามช่องทางการขาย (Modern Trade, Traditional Trade, E-Commerce) เพื่อวิเคราะห์ความสามารถในการทำกำไรของแต่ละช่องทาง.
- จัดทำ P&L แยกตามสินค้า/กลุ่มสินค้า (SKU/Brand) เพื่อวิเคราะห์ Margin และ Contribution ของแต่ละสินค้า.
- วิเคราะห์ต้นทุนขาย ค่าใช้จ่ายทางการตลาด (Trade Spend, Promotion, Commission) ที่ส่งผลต่อกำไรของแต่ละช่องทาง/สินค้า.
- นำเสนอ Insight และข้อเสนอแนะเชิงกลยุทธ์ต่อผู้บริหารเพื่อปรับปรุงความสามารถในการทำกำไร.
- ควบคุมสต็อกสินค้า (Stock Control).
- ควบคุมและตรวจสอบความถูกต้องของสต็อกสินค้าระหว่างระบบบัญชีและคลังสินค้า (Physical).
- กำกับดูแลการตรวจนับสต็อกประจำงวด (Stock Count/Cycle Count) ร่วมกับฝ่าย Warehouse.
- ควบคุมและวิเคราะห์สินค้าเสื่อมสภาพ/หมดอายุ/Slow Moving (Aging, Obsolete, Near Expiry) พร้อมเสนอแนวทางบริหารจัดการ.
- ตรวจสอบมูลค่าสต็อกคงเหลือ (Inventory Valuation) ให้ถูกต้องตามมาตรฐานบัญชี.
- ควบคุมต้นทุนที่เกี่ยวข้องกับคลังสินค้า เช่น ค่าจัดเก็บ ค่าขนส่ง ให้เป็นไปตามงบประมาณ.
- ควบคุมงบประมาณ (Budget Control).
- จัดทำงบประมาณประจำปีร่วมกับทุกแผนก (Marketing, Sales, E-Commerce, Warehouse, HR, Admin).
- ติดตามและควบคุมการใช้งบประมาณของแต่ละแผนกให้เป็นไปตามที่กำหนด (Budget vs. Actual).
- วิเคราะห์ความแตกต่างระหว่างงบประมาณและผลการดำเนินงานจริง (Variance Analysis) พร้อมรายงานสาเหตุและแนวทางแก้ไข.
- อนุมัติ/พิจารณาคำขอใช้จ่ายที่นอกเหนือจากงบประมาณที่ตั้งไว้ ตามอำนาจที่ได้รับมอบหมาย.
- ให้คำปรึกษาด้านการเงินแก่หัวหน้าแผนกต่างๆ ในการวางแผนและควบคุมงบประมาณ.
- ปริญญาตรีขึ้นไป สาขาบัญชี/การเงิน หรือสาขาที่เกี่ยวข้อง.
- ประสบการณ์ 5-10 ปีด้านบัญชี-การเงิน โดยมีประสบการณ์ระดับบริหาร (Manager/Controller) อย่างน้อย 3-5 ปี.
- มีประสบการณ์ในธุรกิจ FMCG/Consumer Products/เครื่องสำอาง จะได้รับการพิจารณาเป็นพิเศษ.
- มีความเข้าใจธุรกิจ Multi-channel (Modern Trade, Traditional Trade, E-Commerce).
- มีทักษะการวิเคราะห์ P&L, Cashflow, Budgeting ในระดับสูง.
- มีความเป็นผู้นำ สามารถประสานงานข้ามสายงานได้ดี.
- มีความรู้ด้านมาตรฐานบัญชี ภาษีอากร และกฎหมายที่เกี่ยวข้อง.
- ใช้โปรแกรม Advanced Excel.
ประสบการณ์:
5 ปีขึ้นไป
ทักษะ:
Financial Analysis, Negotiation, Accounting, Budgeting, Teamwork, SAP, SUN, English
ประเภทงาน:
งานประจำ
เงินเดือน:
สามารถต่อรองได้
- Additionally, responsible for the financial analysis, reporting, budgeting, forecasting, audit and control, asset and liability reconciliation, working capital and cash control. Also, ensure the safekeeping and updating of all legal documentation relating to the financial status of the hotel.
- Responsible for the properties overall accounting and financial management requirements.
- Represent the finance department during daily morning HOD meetings.
- Responsible to support and liaise with the General Manager in meeting the strategic goals of the hotel.
- Responsible for preparing and reviewing annual budgets, monthly forecasts, operating results.
- Responsible for verifying all financial reports and ensuring that all transactions are accurate and in compliance with government regulations.
- Responsible to liaise with the hotel owner or managing director of the organisation.
- Able to prepare and submits management reports in a timely manner and also ensuring delivery deadlines.
- Able to effectively implement all accounting policies and procedures.
- Able to ensure a strong accounting and operational control environment to safeguard hotel assets.
- Able to assists proactively with cost control requirements.
- Assist with revenue enhancement possibilities.
- Able to assist with profit improvement opportunities for the hotel operations.
- Able to develop specific goals and plans to prioritise, organise and accomplish the work.
- Assists in the building of an efficient and professional team of employees within Finance and Accounting Department.
- Monitors all tax compliance that applies, and ensuring that taxes are charged correctly and collected.
- File the tax with the concerned authority on a monthly/regular basis.
- Monitor and improve hotels operation costs, profitability and manage business risks.
- Ensures profits and losses are documented accurately.
- Ensures property policies are administered fairly and consistently.
- Achieves and exceeds goals including performance goals, budget goals, team goals, etc.
- Oversees internal, external and regulatory audit processes.
- Conduct regular weekly finance department meetings.
- Celebrates successes by publicly recognising the contributions of team members.
- Provides excellent leadership by differentiates top performers, fosters teamwork and also able to encourages work/life balance.
- Establishes and maintains open, collaborative relationships with employees.
- Ensures employees establish and maintain open, collaborative relationships within their team.
- Participates in the employee performance appraisal process, providing feedback as needed.
- Responsible to ensure disciplinary procedures and documentation are completed according to hotels standard.
- Any other tasks as and when required by the management.
- Proficient in MS Applications like Excel, Powerpoint etc.
- Excellent knowledge of accounting and financial processes.
- Knowledge of Back office or accounting systems like Sun, SAP, Sage, Freshbooks etc.
- Knowledge of Hotel Software or Property Management Systems like Oasis, OPERA, Protel Etc.
- Excellent communication and negotiation skills.
- Fluent in English, both oral and written.
- Excellent financial/ business decision making.
- Analytical skills and very well organised.
- Candidate must possess at least Bachelor's Degree/Post Graduate Diploma/Professional Degree in Finance/Accountancy/Banking or equivalent.
- At least 3 Year(s) of working experience in the related field in supervisory position in hotel industry is required for this position.
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:
Product Development, Project Management, Internal Audit, Procurement, Recruitment, SAP, ERP, CPA, Thai
ประเภทงาน:
งานประจำ
เงินเดือน:
สามารถต่อรองได้
- Internal Controls & Process Governance.
- Ensure all critical finance and operational processes are defined, documented by owners and understood by stakeholders.
- Audit and monitor.
- Segregation of Duties.
- and.
- Delegation of Authorities.
- across all systems per company policy.
- Drive organizational risk awareness through workshops, training, and high-impact communications. Lead interactions with Global Internal audit team and cross functional leaders and do pro-active assessment of processes to ensure minimum material findings.
- Review direct/indirect tax, Transfer Pricing workstreams and BOI filings compliance. Coordinate with the Company Secretary and operations to maintain all licenses, permits & legal documents within Thai regulatory framework.
- Audit Leadership & Remediation.
- Serve as the primary contact for internal and external auditors; lead teams to close audit concerns and track action plans with urgency.
- Identify, manage and mitigate the Control deficiencies while collaborating with functional leaders to design and implement effective corrective actions within defined timelines.
- Operational Oversight & Asset Protection.
- Audit the onboarding process for local suppliers to prevent conflict-of-interest or fraudulent billing and contract review. Audit bidding process for major expenditures performed by procurement Validate the process to comply with company procedure and local compliance.
- Audit yearly cycle counts and periodic physical verification programs. Ensure proper documentation for disposals or transfers, with a focus on customer-financed and consigned assets.
- Monitor key financial impact processes like the recording of scrap (BOM) and waste (non-BOM) to ensure accuracy and maximize recoveries.
- Professional Foundation: CA/CPA.
- preferred, complemented by a disciplined process improvement and Internal controls mindset/qualifications. Minimum a Bachelor's degree with specialization in Internal audit/Internal controls roles with 5+ years of leadership experience preferably within a manufacturing environment.
- Hands-on knowledge of Internal Controls/SOX & COSO framework. High comfort level navigating and extracting insights from ERP systems such as SAP, Longview/Hyperion and other ERP systems.
- Project management.
- skills.
- Ability to work in a cross-functional team environment and manage complex projects with multiple stakeholders.
- A "lead from the front" approach with a proven ability to influence cross-functional teams and drive high-priority initiatives in a high-growth setting.
- Focus on data integrity, governance, and the ability to provide strategic, actionable insights to senior leadership.
- Celestica is an equal opportunity employer. All qualified applicants will receive consideration for employment and will not be discriminated against on any protected status (including race, religion, national origin, gender, sexual orientation, age, marital status, veteran or disability status or other characteristics protected by law).
- At Celestica we are committed to fostering an inclusive, accessible environment, where all employees and customers feel valued, respected and supported. Special arrangements can be made for candidates who need it throughout the hiring process. Please indicate your needs and we will work with you to meet them.
- Celestica (NYSE, TSX: CLS) enables the world's best brands. Through our recognized customer-centric approach, we partner with leading companies in Aerospace and Defense, Communications, Enterprise, HealthTech, Industrial, Capital Equipment and Energy to deliver solutions for their most complex challenges. As a leader in design, manufacturing, hardware platform and supply chain solutions, Celestica brings global expertise and insight at every stage of product development - from drawing board to full-scale production and after-market services for products from advanced medical devices, to highly engineered aviation systems, to next-generation hardware platform solutions for the Cloud. Headquartered in Toronto, with talented teams spanning 40+ locations in 13 countries across the Americas, Europe and Asia, we imagine, develop and deliver a better future with our customers.
- Celestica would like to thank all applicants, however, only qualified applicants will be contacted.
- Celestica does not accept unsolicited resumes from recruitment agencies or fee based recruitment services.
ทักษะ:
Accounting, Finance, Taxation, English
ประเภทงาน:
งานประจำ
เงินเดือน:
สามารถต่อรองได้
- Serve as a business advisor to Bangchak Group subsidiaries, overseeing accounting, finance, taxation, and internal controls of the assigned entities, while supervising financial reporting and coordination with accounting teams and relevant departments to ensure accuracy and compliance with applicable standards.
- Coordinate closely with Bangchak's accounting and finance teams and other relevant departments to ensure smooth operations that are accurate, complete, and aligned with the policies and practices of the Bangchak Group.
- Manage cash flow and liquidity by working with the finance team to ensure sufficient funding, effective capital utilization, and propose improvements for optimal liquidity management.
- Analyze actual performance, forecasts, period comparisons, and actual versus plan performance, including review of rolling forecasts, and provide actionable insights to management to support decision-making.
- Report on financial performance and financial position of responsible entities to senior executives (CFO/CEO) and the Board of Directors of the assigned entities, as well as to the relevant supervisory line.
- Support Group and Segment FP&A activities, including budgeting, forecasting, and management reporting.
- Participate in business negotiations or executive meetings as a representative of the Finance and Accounting function, providing recommendations to support decision-making, along with other duties as assigned.
- Bachelor's degree or higher in Finance, Accounting, Economics, or related fields. A master's degree in business administration (MBA) with a focus in Finance or a Master of Accounting is a plus.
- Minimum of 5 years of experience in accounting, finance, financial analysis, or strategic planning. Certified Public Accountant (CPA) qualification is a plus.
- Strong ability to communicate and present strategic insights professionally to senior management.
- Proficiency in English, both written and verbal.
- Entrepreneurial (Owner) mindset with a positive, proactive attitude, strong multitasking ability, and proven effectiveness under pressure.
- Understanding the energy industry and large corporate structures is an advantage.
ทักษะ:
Compliance, Accounting, Creativity
ประเภทงาน:
งานประจำ
เงินเดือน:
สามารถต่อรองได้
- Executing and monitoring hedging transactions to manage currency and interest rate exposures across projects and entities.
- Preparing financial analyses and reports to support the implementation and control of hedging policies.
- Coordinating with banks and counterparties to negotiate terms and ensure timely execution of hedging transactions.
- Monitoring market conditions and recommending suitable derivative products to manage project-related financial risks.
- Managing cash investment transactions and ensuring compliance with company investment policies and risk limits.
- Tracking and analyzing investment performance to support decision-making and maximize returns.
- Reviewing and analyzing Provident Fund performance and providing recommendations for improvement.
- Collaborating with internal finance, accounting, and project teams to ensure accurate and efficient hedging operations.
- Bachelor's or Master's degree in Finance, Accounting, Business Administration, or related fields.
- Minimum 2-5 years' experience in banking, treasury (specific in derivative market) and corporate finance function in any companies.
- Experience in project finance and hedging is required.
- Good financial planning and financial model knowledge.
- Experience in power generation, renewable energy, hydropower, gas and infrastructure & utilities would be an advantage.
- High accountability, strong analytical skills, and confidence in turning facts into recommendations.
- Creativity, problem solving skills, negotiation, and systematic thinking.
- Fluent in English both written and verbal (Minimum 750 TOEIC score).
- Ability to use MS Excel.
- Goal - Oriented, Unity, Learning, Flexible.
ทักษะ:
Financial Analysis, Compliance, Accounting
ประเภทงาน:
งานประจำ
เงินเดือน:
สามารถต่อรองได้
- Securing project financing, issuing project information memorandum, negotiating project financing terms and loan documentation.
- Building financial models on responsible projects to update actual performance as well as to prepare financial analysis on various assigned scenarios.
- Analyzing actual operating results and identifying key financial and operating issues to be addressed; quantifies actual results versus forecast.
- Providing loan sources and/or other financial instruments as well as negotiating with financial institutions in order to get low financial cost under the best terms and conditions.
- Managing loan agreement in order to ensure confidence that the company can make the loan drawdown, pay back the principle, interest, and dividend up to expectation.
- Preparing of financial information for BOD/ shareholders/ bankers.
- Studying and keeping updated the financial market and the development of financial instruments to ensure that the right financial instruments have been used to manage risk at the right timing for maximum benefits to the company.
- Performing financial analysis for the company financial status planning and controlling to comply with conditions of all stakeholders' conditions (Lenders, shareholders).
- Managing loan and credit facilities arrangement, including loan terms, project finance, and/ or trade finance and/ or factoring.
- Ensuring the compliance with all covenants under loan agreements.
- Master's degree in Finance, Accounting, Business Administration or related fields.
- Minimum 3-5 years' experience in banking or corporate finance function in any companies.
- Experience in power generation, renewable energy, hydropower, gas and infrastructure & utilities would be an advantage.
- Experience in project finance is required.
- Good financial planning and financial model knowledge.
- High accountability, strong analytical skills, and confidence in turning facts into recommendations.
- Creativity, problem solving skills, negotiation and systematic thinking.
- Fluent in English both written and verbal (Minimum 750 TOEIC score).
- Ability to use MS Excel.
- Goal - Oriented, Unity, Learning, Flexible.
ทักษะ:
Finance
ประเภทงาน:
งานประจำ
เงินเดือน:
สามารถต่อรองได้
- รับผิดชอบเริื่องการโอนเงินต่างประเทศ.
- รับผิดชอบเรื่องกระแสเงินสดของบริษัท.
- ดำเนินการซื้อแคชเชียเช็คเพื่อจ่ายค่าที่ดิน.
- รับผิดชอบเรื่องการขอออก/ต่ออายุ/คืนหนังสือค้ำประกัน พร้อมจัดทำ Report ทุกสิ้นเดือน.
- รับผิดชอบการคีย์ TRM ค่าธรรมเนียม L/G ทั้งออกใหม่และครบกำหนดทุกเดือน.
- รับผิดชอบการเปิดปิดบัญชีธนาคารกรณีเปิดบริษัทใหม่และบัญชีนิติบุุคคลของโครงการ.
- ดำเนินการแจ้งเปลี่ยนแปลงอำนาจลงนามบัญชีธนาคารใหม่ กรณีบริษัทมีการปรับโครงสร้างใหม่.
- ดูแลประสานงานเรื่องการต่อตั๋วเงินกู้ และ/หรือมีการขอกู้เงินกับสถาบันการเงิน.
- ดูแลประสานงานเรื่องบัญชีเงินฝากประจำ.
- อื่นๆตามที่ได้รับมอบหมาย.
- สำเร็จการศึกษาระดับปริญญาโท สาขาบัญชี บริหารธุรกิจ (การเงิน) เศรษฐศาสตร์ หรือสาขาอื่นที่เกี่ยวข้อง.
- มีประสบการณ์ทำงานด้าน Corporate Finance ไม่น้อยกว่า 3 ปี โดยเฉพาะงานด้านการจัดหาแหล่งเงินทุนจากสถาบันการเงินและตลาดตราสารหนี้ หรือมีประสบการณ์ด้านสินเชื่อธุรกิจ/วิเคราะห์สินเชื่อสำหรับลูกค้าธุรกิจขนาดกลางถึงขนาดใหญ่ในสถาบันการเงิน.
- หากมีประสบการณ์ในธุรกิจอสังหาริมทรัพย์ จะได้รับการพิจารณาเป็นพิเศษ.
- สามารถใช้งานโปรแกรม Microsoft Word, PowerPoint และ Excel ได้เป็นอย่างดี.
- มีความรู้และสามารถใช้งานระบบ SAP ได้ (หากมีประสบการณ์จะได้รับการพิจารณาเป็นพิเศษ).
- มีความละเอียดรอบคอบในการทำงาน สามารถตรวจสอบความถูกต้องของข้อมูล ตัวเลข และเอกสารต่าง ๆ ได้อย่างมีประสิทธิภาพ.
- สามารถสื่อสารภาษาอังกฤษได้ดี ทั้งทักษะการฟัง พูด อ่าน และเขียน.
- Co working Space.
- ฟิตเนส.
- ประกันสังคม / ประกันสุขภาพ / ประกันชีวิต / ประกันอุบัติเหตุ.
- โบนัสประจำปี.
- วันลาพักร้อน.
- วันหยุดพิเศษในเดือนเกิด.
- ตรวจสุขภาพประจำปี.
- เงินช่วยเหลือสมรส / เงินช่วยเหลือฌาปนกิจ.
- การเดินทาง.
- BTS: สถานีหมอชิต, ห้าแยกลาดพร้าว.
- MRT: สถานีพหลโยธิน.
- บริการเรียกรถผ่าน App MuvMi.
ทักษะ:
Finance, Accounting, Financial Analysis, English
ประเภทงาน:
งานประจำ
เงินเดือน:
สามารถต่อรองได้
- Partner with Customer development team and Marketing team in driving profitable and sustainable business growth.
- Leading the development and evaluation of short- and long-term business strategic decisions.
- Highlight future performance concerns, opportunities and proactively provide financial advice, and business implications.
- Lead financial agenda in business meetings i.e. CLT, S&OP, ILT, etc.
- Lead financial performance planning and review both in customers and products view including channel mix, product mix impact. This includes analysis of actual results, financial forecast, relevant market information, as well as budgetary control.
- Manage, support, and develop team, by leading, coaching, demonstrating them to deliver business result, and their own career development.
- Support projects as required.
- Bachelor/master's degree in business, Finance, Accounting, Economics, Engineering, etc.
- 5 years' work experience in business planning or financial analysis and/or in FMCG or MNC.
- Good communication skills (Thai & English) and the ability to develop strong working relationships at all levels, both internally and externally.
- Proactive, work independently, and able to make sound decision with limited information.
- Excellence in systematic, logical, and analytical skills with commercial mindset.
- Detail-oriented, fast-learning, and committed to work.
ทักษะ:
Product Owner, Compliance
ประเภทงาน:
งานประจำ
เงินเดือน:
สามารถต่อรองได้
- Lead the development and execution of the Group's digital strategy, ecosystem growth, and transformation agenda. Drive alignment across business entities, digital channels, and technology teams to accelerate innovation, optimize investment priorities, and deliver sustainable business value through digital platforms, Open Finance, and strategic partnerships.
- Drive Open Banking, Open Finance, Embedded Finance, and ecosystem initiatives from strategy through implementation.
- Act as Product Owner for embedded finance initiatives and selected ecosystem.
- Translate business opportunities into product concepts, requirements, and implementation roadmaps.
- Work directly with business stakeholders and delivery teams to ensure successful execution and value realization.
- Coordinate with business units, technology teams, risk, compliance, and external partners to deliver initiatives successfully.
- Promote product management, partnership management, and ecosystem best practices across the organization.
- Apply now if you have these advantages.
- Master's degrees in fields like Computer Science, Engineering, Management Information Systems, or another related field.
- Senior-level experience in banking, financial services, digital strategy or digital business.
- In-depth understanding of banking business models, digital ecosystems and emerging technology trends.
- Comfortable working with multiple teams, in-house and remote.
- Excellent verbal and written communication skills.
- Accurate and precise attention to detail.
- Strong stakeholder management and relationship-building skills across business, technology, and senior leadership teams.
- Highly adaptable, proactive and comfortable working in a dynamic environment.
- Great organizational, responsible and time management abilities.
- Why join Krungsri?.
- As a part of MUFG (Mitsubishi UFJ Financial Group), we a truly a global bank with networks all over the world.
- We offer a striking work-life balance culture with hybrid work policies (3 days in office per week).
- Unbelievable benefits such as attractive bonuses, employee loan with special rates and many more.
- Apply now before this role is close. **.
- FB: Krungsri Career(http://bit.ly/FacebookKrungsriCareer [link removed]).
- LINE: Krungsri Career (http://bit.ly/LineKrungsriCareer [link removed]).
- Talent Acquisition Department.
- Bank of Ayudhya Public Company Limited.
- 1222 Rama III Rd., Bangpongpang, Yannawa, Bangkok 10120.
- สอบถามข้อมูลเพิ่มเติม: Talent Acquisition Center 0-2-----000.
- หมายเหตุ ธนาคารมีความจำเป็นและจะมีขั้นตอนการตรวจสอบข้อมูลส่วนบุคคลเกี่ยวกับประวัติอาชญากรรมของผู้สมัคร ก่อนที่ผู้สมัครจะได้รับการพิจารณาเข้าร่วมงานกับธนาคารกรุงศรีฯ.
- 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.
- 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.
- EN (https://krungsri.com/b/privacynoticeen).
- ผู้สมัครสามารถอ่านประกาศการคุ้มครองข้อมูลส่วนบุคคลส่วนงานทรัพยากรบุคคลของธนาคารได้โดยการพิมพ์ลิงค์จากรูปภาพที่ปรากฎด้านล่าง.
- ภาษาไทย (https://krungsri.com/b/privacynoticeth).
ทักษะ:
Accounting, Compliance, SAP, English
ประเภทงาน:
งานประจำ
เงินเดือน:
สามารถต่อรองได้
- Process and verify vendor invoices, employee reimbursements, and payment requests accurately and in a timely manner.
- Prepare payment documents and coordinate payment processing with internal stakeholders and banks.
- Reconcile vendor statements and resolve invoice or payment discrepancies.
- Ensure supporting documents are complete and comply with company policies and internal controls.
- Tax Compliance.
- Prepare and process VAT and Withholding Tax (WHT) transactions in compliance with Thai Revenue Department regulations.
- Prepare tax reports and supporting documents for monthly tax filings (e.g., PP30, PND3, PND53).
- Ensure accurate tax coding and compliance for all AP transactions.
- SAP & Financial Operations.
- Record accounting transactions and maintain accurate financial data in the SAP system.
- Monitor AP-related entries and ensure transactions are properly posted in SAP.
- Support month-end closing activities, including AP reconciliations and accruals.
- Assist in maintaining accurate accounting records and supporting documentation.
- Financial Support & Coordination.
- Coordinate with vendors, internal departments, and external parties regarding invoices, payments, and accounting matters.
- Support internal and external audits by preparing required documentation.
- Assist with process improvement initiatives to enhance AP and accounting efficiency.
- Perform other finance and accounting duties as assigned.
- Bachelor's degree in Accounting, Finance, or a related field.
- 3 - 5 years of experience in Accounting or Finance, with hands-on experience in Accounts Payable (AP)..
- Strong knowledge of VAT, Withholding Tax (WHT), and Thai tax regulations..
- Hands-on experience using SAP.
- Good understanding of accounting principles and financial processes.
- Proficient in Microsoft Excel and Microsoft Office applications.
- Experience in infrastructure, construction, real estate, or data center businesses is an advantage.
- Good command of English, both written and spoken.
ทักษะ:
Compliance, Finance, Data Entry
ประเภทงาน:
งานประจำ
เงินเดือน:
สามารถต่อรองได้
- Providing administrative supports for day-to-day financial tasks and activates according to rules and regulations compliance.
- Invoice issuance and cash collection.
- Loan, treasury and investment document management.
- Payment transactions and finance-related data entry to SAP system.
- Supporting in research and calculating data to develop business forecast, budget planning, business plan, risk and litigation analysis.
- Ensuring financial records and reports are kept up-to-date with the latest transactions and changes.
- Ensuring the preparation of operating data is handled effectively.
- Coordinating with Audit Team to conduct finance audit periodically and recommend improvements.
- Developing effective relationships with stakeholders, government institutions and regulatory agencies in a governance compliance manner.
- Job Qualifications.
- Bachelor's degree or higher in Finance, Business Administration or related fields.
- Minimum 1-2 years' experience in finance operation, credit administration and services, facility or agent service.
- Experience in banking companies will be an advantage.
- Creativity, problem solving skills, negotiation and systematic thinking.
- Good in English both written and verbal (Minimum 750 TOEIC score).
- Goal - Oriented, Unity, Learning, Flexible.
ทักษะ:
Finance, Excel, English
ประเภทงาน:
งานประจำ
เงินเดือน:
สามารถต่อรองได้
- Operate transactions related to international trade and domestic trade to comply with the relevant and regulations, cover import and export services under Documentary Credit, Documentary Collection, and import/export financing.
- Process export documentation preparation.
- Process Import & Export Document Examination.
- Process fee collection and interest as bank's announcement.
- Support team for a miscellaneous task or additional assignments such as filing documents..
- Bachelor's Degree Major in Banking / Finance or any related filed.
- 1-3 years' experience of Banking Industry.
- Computer literacy (Microsoft Word, Excel, PowerPoint).
- Good command of English.
- Stay connected with KRUNGRI CAREER at: FB: Krungsri Career (http://bit.ly/FacebookKrungsriCareer).
- LINE: Krungsri Career (http://bit.ly/LineKrungsriCareer).
- 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.
- EN (https://krungsri.com/bprivacynoticeen).
- ผู้สมัครสามารถอ่านประกาศการคุ้มครองข้อมูลส่วนบุคคลส่วนงานทรัพยากรบุคคลของธนาคารได้ โดยการพิมพ์ลิงค์จากรูปภาพที่ปรากฎด้านล่าง.
- ภาษาไทย (https://krungsri.com/bprivacynoticeth).
ประสบการณ์:
8 ปีขึ้นไป
ทักษะ:
Financial Modeling, Risk Management, Meet Deadlines, Data Analysis, Recruitment
ประเภทงาน:
งานประจำ
เงินเดือน:
สามารถต่อรองได้
- Minimum 12 years of related professional experience, FP&A experience required; Corporate Finance experience within an e-commerce or tech sector is a plus; Minimum 8 years in a management position; Bachelor's degree from a competitive program.
- MBA is a plus; Exceptional analytical skills and natural curiosity regarding financial metrics and key business drivers; Sharp communication skills and executive presence; Strong financial modeling skills, and experience with Excel; Experienced in creating 'C-level' presentations; Excellent interpersonal, oral/written communication sk ...
- Unquestionable integrity and ethics is essential.
- Please review our Hiring Process Guidelines before your interview - click here to learn how interviewing at Agoda works.
- Discover more about working at Agoda Agoda Careers https://careersatagoda.com Facebook https://www.facebook.com/agodacareers/ LinkedIn https://www.linkedin.com/company/agoda YouTube https://www.youtube.com/agodalife Equal Opportunity Employer At Agoda, we pride ourselves on being a company represented by people of all different backgrounds and orientations.
- We prioritize attracting diverse talent and cultivating an inclusive environment that encourages collaboration and innovation.
- Employment at Agoda is based solely on a person's merit and qualifications.
- We are committed to providing equal employment opportunity regardless of sex, age, race, color, national origin, religion, marital status, pregnancy, sexual orientation, gender identity, disability, citizenship, veteran or military status, and other legally protected characteristics.
- We will keep your application on file so that we can consider you for future vacancies and you can always ask to have your details removed from the file.
- For more details please read our privacy policy.
- Disclaimer We do not accept any terms or conditions, nor do we recognize any agency's representation of a candidate, from unsolicited third-party or agency submissions.
- If we receive unsolicited or speculative CVs, we reserve the right to contact and hire the candidate directly without any obligation to pay a recruitment fee.
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 Responsibilities.
- 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 duties and responsibilities 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 Qualifications.
- 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.
ประเภทงาน:
งานประจำ
เงินเดือน:
สามารถต่อรองได้
Job Summary รับผิดชอบการควบคุมดูแลการติดตามหนี้ HP ก่อนตก NPL ควบคุมการติดตามหนี้ของบริษัทติดตามหนี้ภายนอก ให้คำแนะนำและแก้ปัญหาการทำงานของบริษัทติดตามหนี้ภายนอก การให้คำแนะนำด้านบริการและแก้ปัญหาเกี่ยวกับค่างวดค้างชำระกับลูกหนี้ รวมถึงประสานงานและเป็นช่องทางติดต่อกับลูกหนี้ และ/หรือ บริษัทติดตามหนี้ภายนอก Role and Responsibilities / หน้าที่ความรับผิดชอบ ควบคุมการทำงานของบริษัทติดตามหนี้ภายนอกให้เป็นไปตามเป้าหมายของธนาคารฯ และเป็นไปตามระเบียบของฝ่ายงาน และ องค์กร Visit และเข้าปฏิบัติงานในพื้นที่ บริษัท OA ที่เป็น Contract กับทางธนาคารและควบคุมดูแลให้เป็นไปตามมาตรฐานของธนาคาร และสาม ...
ประสบการณ์:
15 ปีขึ้นไป
ทักษะ:
Financial Reporting, Financial Analysis, Risk Management, Recruitment, Accounting
ประเภทงาน:
งานประจำ
เงินเดือน:
สามารถต่อรองได้
- Financial Leadership Partner with the Country Manager and Leadership Team to shape business strategy and drive sustainable growth, profitability, and value creation.
- Lead financial planning, forecasting, and strategic analysis to support informed decision-making and long-term business objectives.
- Drive financial performance by identifying risks, opportunities, and initiatives to enhance revenue, margins, and operational efficiency.
- Evaluate strategic investments, growth opportunities, and business initiatives through robust financial analysis and scenario planning.
- Champion a performance-driven culture by embedding financial discipline, accountability, and data-driven decision-making across the organization.
- Commercial Finance & Business Partnering Serve as a strategic business partner to the Leadership Team, providing financial insights that drive profitable growth and informed decision-making.
- Partner country leadership tean in shaping strategies across pricing, trade investments, promotions, and revenue growth management to maximize profitability and ROI.
- Provide actionable insights on customer, channel, product, and category performance to optimize business outcomes.
- Influence business strategies and investment decisions through robust financial analysis and performance evaluation.
- Financial Planning & Analysis (FP&A) Lead the company's financial planning processes, including budgeting, forecasting, and long-term strategic planning.
- Provide forward-looking insights on business performance, risks, and opportunities to support strategic decision-making.
- Drive performance management through financial analysis, scenario planning, and key business reviews.
- Ensure timely, accurate, and actionable financial reporting to support executive and business leadership.
- Financial Governance, Risk Management & Compliance Provide strategic leadership in financial governance, internal controls, compliance, and enterprise risk management to safeguard company assets and support business objectives.
- Lead statutory reporting, audits, taxation, treasury, and corporate governance activities, ensuring accuracy, transparency, and regulatory compliance.
- Optimize cash flow, working capital, and capital allocation to drive sustainable growth, improve financial performance, and maximize company value.
- Build strong partnerships with auditors, financial institutions, regulators, and business leaders while fostering a culture of accountability, integrity, and financial stewardship.
- Team Leadership Lead, coach, and develop the accounting & finance team to build high-performance capabilities.
- Foster a culture of accountability, continuous improvement, and business partnership.
- Drive finance transformation and process optimization initiatives.
- Enhance financial systems, reporting tools, and analytics capabilities.
- Who are you? Bachelor's degree in Finance, Accounting, Economics, Business Administration, or related field.
- MBA or Master's degree in Finance or Business Administration is an advantage.
- Professional accounting qualification such as CPA Thailand, CPA, ACCA, CIMA, CMA, or equivalent is highly preferred.
- Minimum 12-15 years of progressive finance experience, with at least 5 years in a senior finance leadership position.
- Proven experience within FMCG, Consumer Goods, Retail, or related fast-paced industries.
- Strong experience in Financial Planning & Analysis (FP&A), Commercial Finance, Business Partnering, and Financial Control.
- Experience supporting Sales, Marketing, Supply Chain, and Operations functions in driving profitable growth.
- Demonstrated success in budgeting, forecasting, strategic planning, and performance management.
- Experience leading finance transformation, process improvement, and digitization initiatives.
- Strong knowledge of Thai Financial Reporting Standards (TFRS), taxation, statutory reporting, and local regulatory requirements.
- 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:
English
ประเภทงาน:
งานประจำ
เงินเดือน:
สามารถต่อรองได้
- Online assessment or practical task.
- Technical interview.
- CEO / final round.
- For strong candidates, we aim to complete the process and make an offer within 1 week from the start of the interview process. Candidates who complete assessments quickly will be prioritized.
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