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อัปโหลดเรซูเม่ของคุณ
AI ของเราจะอ่านให้ แล้วหางานที่ใช่สำหรับคุณ
อัปโหลดเรซูเม่ประสบการณ์:
6 ปีขึ้นไป
ทักษะ:
Financial Reporting, Risk Management, Recruitment, Accounting, Automation
ประเภทงาน:
งานประจำ
เงินเดือน:
สามารถต่อรองได้
- Own the end-to-end accounting for foreign-currency transactions, balances, exposures and Treasury-driven FX activity across multiple entities and ledgers.
- Manage monthly, quarterly and annual FX close activities, ensuring that all relevant transactions, valuations, revaluations and accounting adjustments are recorded accurately and on time.
- Review and approve FX-related journal entries, including realized and unrealized gains and losses, balance-sheet revaluations, derivatives, settlements and hedge-relate ...
- Ensure the correct treatment of transaction currency, functional currency, reporting currency and source-currency amounts throughout the accounting process.
- Review FX results across the income statement, balance sheet and other comprehensive income, where applicable, and explain material movements to senior Finance stakeholders.
- Perform reasonableness and trend analysis of FX gains and losses against exposures, market-rate movements, hedging activity, prior periods and forecasts.
- Investigate unexpected FX volatility, unusual source-currency balances, duplicated or missing entries, incorrect exchange rates and other accounting exceptions.
- Maintain clear visibility over outstanding FX close items, owners, financial impact and expected resolution dates.
- Derivatives and Hedge Accounting.
- Oversee the accounting for FX derivatives, including forwards, options, swaps and other instruments used to manage foreign-currency risk.
- Review derivative valuations, settlements, premiums, accruals and related general-ledger postings.
- Assess and document the appropriate accounting treatment for new or non-routine FX and derivative transactions.
- Support or oversee hedge designation, hedge documentation, effectiveness assessments and the ongoing accounting for qualifying hedging relationships.
- Ensure accurate presentation of hedge results between the income statement, balance sheet and other comprehensive income, where applicable.
- Monitor non-designated or non-qualifying hedges and ensure that their accounting impact is accurately tracked and explained.
- Review hedge discontinuations, modifications, rollovers, early settlements and ineffectiveness for appropriate accounting treatment.
- Support quarterly derivatives disclosures, group reporting, regulatory or survey submissions and audit requirements.
- FX Exposure and Balance-Sheet Control.
- Develop and maintain a complete view of material foreign-currency monetary assets, liabilities, commitments and intercompany exposures.
- Reconcile FX exposure information between Treasury systems, bank data, subledgers, consolidation systems and the general ledger.
- Review foreign-currency cash, bank, receivable, payable, loan, cash-pool and intercompany balances for completeness and appropriate revaluation.
- Oversee the accounting for foreign-currency intercompany funding, settlements, service charges and other cross-border transactions.
- Ensure approved exchange rates are applied consistently, including spot rates, month-end rates, average rates, historical rates and fixed intercompany rates where required.
- Challenge unexplained or unhedged exposures and work with Treasury and Finance teams to determine whether they arise from genuine economic positions, timing differences, missing transactions or accounting errors.
- Establish investigation and escalation thresholds for material FX differences and unresolved reconciliation items.
- Ensure significant FX-related balance-sheet accounts are reconciled, reviewed and signed off within the close timetable.
- Exchange-Rate Governance and Data Quality.
- Own or oversee the governance of exchange rates used in ERP, Treasury, consolidation and reporting systems.
- Validate that approved rates are complete, accurate, timely and consistently applied across entities and accounting processes.
- Monitor interfaces between systems, market-data sources, ERP platforms and relevant tools.
- Investigate differences caused by incorrect rates, stale data, currency mapping or system configurations.
- Partner with Finance Systems and Treasury teams to improve the reliability and traceability of data.
- Maintain appropriate evidence and approval records for rates, valuations, adjustments and system-generated entries.
- Financial Reporting and Management Analysis.
- Deliver accurate and timely FX accounting results for management, treasury, group consolidation and statutory reporting.
- Prepare clear explanations of material movements, distinguishing between operational exposure, translation effects, revaluation, hedging results, settlement timing and accounting corrections.
- Partner with FP&A and Finance Business Partners to explain actual FX outcomes against forecast or budget assumptions.
- Support the preparation and review of financial-statement disclosures relating to foreign currency, derivatives, financial instruments and risk management.
- Provide accounting insight to Treasury on the potential financial-statement implications of proposed transactions or hedging strategies.
- Support senior management and group reporting queries relating to FX volatility, exposure, hedging performance and balance-sheet movements.
- Controls, Compliance and Audit.
- Design and maintain a robust internal-control framework for FX accounting, valuation, journal entries, reconciliations, rates and hedge-related processes.
- Ensure FX accounting processes comply with corporate policies, SOX requirements and applicable accounting guidance, including US GAAP where relevant.
- Maintain audit-ready documentation supporting FX exposures, exchange rates, valuations, accounting conclusions and hedge relationships.
- Partner with internal and external auditors on FX accounting, derivative valuation, hedge accounting and control-testing requirements.
- Identify control gaps, recurring exceptions and financial-reporting risks, and implement practical remediation plans.
- Ensure appropriate segregation of duties between transaction execution, confirmation, valuation, accounting, reconciliation and approval.
- Establish controls over manual FX entries and ensure that material adjustments receive appropriate review and approval.
- Projects and Process Improvement.
- Lead initiatives to improve FX accounting, valuation, reporting, exposure management and close processes.
- Automate reconciliations between Treasury systems, ERP platforms, bank data and consolidation systems.
- Reduce dependence on manual spreadsheets and develop controlled, scalable sources of FX accounting information.
- Define accounting and control requirements for new currencies, entities, bank accounts, Treasury products and system implementations.
- Support requirements gathering, solution design, user-acceptance testing, deployment and post-go-live monitoring for FX-related Finance projects.
- Develop dashboards and exception reports that improve visibility over FX exposures, hedge coverage, accounting results and unresolved differences.
- Explore appropriate automation and AI-enabled solutions to improve analysis, exception detection, documentation and close efficiency.
- Perform root-cause analysis of recurring FX accounting issues and ensure sustainable corrective actions are implemented.
- Leadership and Stakeholder Management.
- Act as the principal Accounting contact for FX, derivative and hedge-related matters.
- Partner closely with Treasury, Controllership, Tax, FP&A, Finance Systems, Legal, Risk and entity accounting teams.
- Coordinate FX accounting activities across multiple entities and time zones, with clear ownership, deadlines and escalation paths.
- Review the work of team members and provide technical guidance, coaching and quality oversight.
- Translate complex FX and accounting topics into clear, practical explanations for both Finance and non-Finance stakeholders.
- Promote strong accountability, documentation and continuous improvement across the FX accounting operating model.
- What You'll Need to Succeed.
- Bachelor's or Master's degree in Accounting, Finance or a related field.
- At least 6-12 years of relevant experience in financial accounting, FX accounting, Treasury accounting, financial controllership or a similar role. We will determine level based on years of experience.
- Strong understanding of foreign-currency accounting, including transaction-currency accounting, functional-currency considerations, revaluation and realized and unrealized FX gains and losses.
- Practical experience with FX derivatives such as forwards, options or swaps and their accounting implications.
- Knowledge of hedge accounting principles, documentation and effectiveness assessment.
- Strong experience with month-end close, journal-entry review, balance-sheet reconciliations and financial reporting.
- Ability to analyze material FX movements and connect accounting outcomes to underlying exposures, market movements and hedging activity.
- Good understanding of internal controls, audit requirements and financial-reporting governance in a multinational environment.
- Experience working with ERP, Treasury or consolidation systems and complex financial datasets.
- Strong analytical and problem-solving skills, with the ability to identify root causes and drive issues through to resolution.
- Strong communication and stakeholder-management skills across Treasury, Accounting, Tax, Systems, FP&A and senior Finance leadership.
- Ability to work effectively in a fast-paced, deadline-driven and internationally distributed environment.
- Excellent written and spoken English.
- It's Great If You Have.
- Professional accounting qualification such as CPA, ACCA, CA, CMA or equivalent.
- Experience applying US GAAP guidance relating to foreign currency, derivatives and hedge accounting.
- Familiarity with ASC 830, ASC 815 or equivalent IFRS requirements.
- Experience with Oracle ERP, Treasury Management Systems or enterprise consolidation platforms.
- Experience with derivative valuation models, market-data sources and Treasury-to-ERP interfaces.
- Exposure to SOX-controlled environments and automated financial controls.
- Experience managing FX accounting across multiple entities, functional currencies and jurisdictions.
- Experience in a multinational technology, e-commerce, travel or other high-volume global business.
- Experience with system implementations, reconciliation automation or FX reporting transformation.
- 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:
6 ปีขึ้นไป
ทักษะ:
Financial Reporting, Risk Management, Recruitment, Accounting, Automation
ประเภทงาน:
งานประจำ
เงินเดือน:
สามารถต่อรองได้
- Own the end-to-end accounting for foreign-currency transactions, balances, exposures and Treasury-driven FX activity across multiple entities and ledgers.
- Manage monthly, quarterly and annual FX close activities, ensuring that all relevant transactions, valuations, revaluations and accounting adjustments are recorded accurately and on time.
- Review and approve FX-related journal entries, including realized and unrealized gains and losses, balance-sheet revaluations, derivatives, settlements and hedge-relate ...
- Ensure the correct treatment of transaction currency, functional currency, reporting currency and source-currency amounts throughout the accounting process.
- Review FX results across the income statement, balance sheet and other comprehensive income, where applicable, and explain material movements to senior Finance stakeholders.
- Perform reasonableness and trend analysis of FX gains and losses against exposures, market-rate movements, hedging activity, prior periods and forecasts.
- Investigate unexpected FX volatility, unusual source-currency balances, duplicated or missing entries, incorrect exchange rates and other accounting exceptions.
- Maintain clear visibility over outstanding FX close items, owners, financial impact and expected resolution dates.
- Derivatives and Hedge Accounting.
- Oversee the accounting for FX derivatives, including forwards, options, swaps and other instruments used to manage foreign-currency risk.
- Review derivative valuations, settlements, premiums, accruals and related general-ledger postings.
- Assess and document the appropriate accounting treatment for new or non-routine FX and derivative transactions.
- Support or oversee hedge designation, hedge documentation, effectiveness assessments and the ongoing accounting for qualifying hedging relationships.
- Ensure accurate presentation of hedge results between the income statement, balance sheet and other comprehensive income, where applicable.
- Monitor non-designated or non-qualifying hedges and ensure that their accounting impact is accurately tracked and explained.
- Review hedge discontinuations, modifications, rollovers, early settlements and ineffectiveness for appropriate accounting treatment.
- Support quarterly derivatives disclosures, group reporting, regulatory or survey submissions and audit requirements.
- FX Exposure and Balance-Sheet Control.
- Develop and maintain a complete view of material foreign-currency monetary assets, liabilities, commitments and intercompany exposures.
- Reconcile FX exposure information between Treasury systems, bank data, subledgers, consolidation systems and the general ledger.
- Review foreign-currency cash, bank, receivable, payable, loan, cash-pool and intercompany balances for completeness and appropriate revaluation.
- Oversee the accounting for foreign-currency intercompany funding, settlements, service charges and other cross-border transactions.
- Ensure approved exchange rates are applied consistently, including spot rates, month-end rates, average rates, historical rates and fixed intercompany rates where required.
- Challenge unexplained or unhedged exposures and work with Treasury and Finance teams to determine whether they arise from genuine economic positions, timing differences, missing transactions or accounting errors.
- Establish investigation and escalation thresholds for material FX differences and unresolved reconciliation items.
- Ensure significant FX-related balance-sheet accounts are reconciled, reviewed and signed off within the close timetable.
- Exchange-Rate Governance and Data Quality.
- Own or oversee the governance of exchange rates used in ERP, Treasury, consolidation and reporting systems.
- Validate that approved rates are complete, accurate, timely and consistently applied across entities and accounting processes.
- Monitor interfaces between systems, market-data sources, ERP platforms and relevant tools.
- Investigate differences caused by incorrect rates, stale data, currency mapping or system configurations.
- Partner with Finance Systems and Treasury teams to improve the reliability and traceability of data.
- Maintain appropriate evidence and approval records for rates, valuations, adjustments and system-generated entries.
- Financial Reporting and Management Analysis.
- Deliver accurate and timely FX accounting results for management, treasury, group consolidation and statutory reporting.
- Prepare clear explanations of material movements, distinguishing between operational exposure, translation effects, revaluation, hedging results, settlement timing and accounting corrections.
- Partner with FP&A and Finance Business Partners to explain actual FX outcomes against forecast or budget assumptions.
- Support the preparation and review of financial-statement disclosures relating to foreign currency, derivatives, financial instruments and risk management.
- Provide accounting insight to Treasury on the potential financial-statement implications of proposed transactions or hedging strategies.
- Support senior management and group reporting queries relating to FX volatility, exposure, hedging performance and balance-sheet movements.
- Controls, Compliance and Audit.
- Design and maintain a robust internal-control framework for FX accounting, valuation, journal entries, reconciliations, rates and hedge-related processes.
- Ensure FX accounting processes comply with corporate policies, SOX requirements and applicable accounting guidance, including US GAAP where relevant.
- Maintain audit-ready documentation supporting FX exposures, exchange rates, valuations, accounting conclusions and hedge relationships.
- Partner with internal and external auditors on FX accounting, derivative valuation, hedge accounting and control-testing requirements.
- Identify control gaps, recurring exceptions and financial-reporting risks, and implement practical remediation plans.
- Ensure appropriate segregation of duties between transaction execution, confirmation, valuation, accounting, reconciliation and approval.
- Establish controls over manual FX entries and ensure that material adjustments receive appropriate review and approval.
- Projects and Process Improvement.
- Lead initiatives to improve FX accounting, valuation, reporting, exposure management and close processes.
- Automate reconciliations between Treasury systems, ERP platforms, bank data and consolidation systems.
- Reduce dependence on manual spreadsheets and develop controlled, scalable sources of FX accounting information.
- Define accounting and control requirements for new currencies, entities, bank accounts, Treasury products and system implementations.
- Support requirements gathering, solution design, user-acceptance testing, deployment and post-go-live monitoring for FX-related Finance projects.
- Develop dashboards and exception reports that improve visibility over FX exposures, hedge coverage, accounting results and unresolved differences.
- Explore appropriate automation and AI-enabled solutions to improve analysis, exception detection, documentation and close efficiency.
- Perform root-cause analysis of recurring FX accounting issues and ensure sustainable corrective actions are implemented.
- Leadership and Stakeholder Management.
- Act as the principal Accounting contact for FX, derivative and hedge-related matters.
- Partner closely with Treasury, Controllership, Tax, FP&A, Finance Systems, Legal, Risk and entity accounting teams.
- Coordinate FX accounting activities across multiple entities and time zones, with clear ownership, deadlines and escalation paths.
- Review the work of team members and provide technical guidance, coaching and quality oversight.
- Translate complex FX and accounting topics into clear, practical explanations for both Finance and non-Finance stakeholders.
- Promote strong accountability, documentation and continuous improvement across the FX accounting operating model.
- What You'll Need to Succeed.
- Bachelor's or Master's degree in Accounting, Finance or a related field.
- At least 6-12 years of relevant experience in financial accounting, FX accounting, Treasury accounting, financial controllership or a similar role. We will determine level based on years of experience.
- Strong understanding of foreign-currency accounting, including transaction-currency accounting, functional-currency considerations, revaluation and realized and unrealized FX gains and losses.
- Practical experience with FX derivatives such as forwards, options or swaps and their accounting implications.
- Knowledge of hedge accounting principles, documentation and effectiveness assessment.
- Strong experience with month-end close, journal-entry review, balance-sheet reconciliations and financial reporting.
- Ability to analyze material FX movements and connect accounting outcomes to underlying exposures, market movements and hedging activity.
- Good understanding of internal controls, audit requirements and financial-reporting governance in a multinational environment.
- Experience working with ERP, Treasury or consolidation systems and complex financial datasets.
- Strong analytical and problem-solving skills, with the ability to identify root causes and drive issues through to resolution.
- Strong communication and stakeholder-management skills across Treasury, Accounting, Tax, Systems, FP&A and senior Finance leadership.
- Ability to work effectively in a fast-paced, deadline-driven and internationally distributed environment.
- Excellent written and spoken English.
- It's Great If You Have.
- Professional accounting qualification such as CPA, ACCA, CA, CMA or equivalent.
- Experience applying US GAAP guidance relating to foreign currency, derivatives and hedge accounting.
- Familiarity with ASC 830, ASC 815 or equivalent IFRS requirements.
- Experience with Oracle ERP, Treasury Management Systems or enterprise consolidation platforms.
- Experience with derivative valuation models, market-data sources and Treasury-to-ERP interfaces.
- Exposure to SOX-controlled environments and automated financial controls.
- Experience managing FX accounting across multiple entities, functional currencies and jurisdictions.
- Experience in a multinational technology, e-commerce, travel or other high-volume global business.
- Experience with system implementations, reconciliation automation or FX reporting transformation.
- 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:
2 ปีขึ้นไป
ทักษะ:
Accounting, Assurance, CPA, English, Thai
ประเภทงาน:
งานประจำ
เงินเดือน:
สามารถต่อรองได้
Bachelor's degree in Accounting, Finance, Economics or related degree; CPA qualification and Master's degree are preferable but not essential Able to demonstrate capability to work effectively in both dynamic international and local environments. Able to develop and maintain positive working relationships with colleagues, manager, as well as key personnel in business units Excellent communication skills, strong written and oral presentation skills, bilingual in Thai and English For Consultant Level At least 2-3 years experience in audit or accounting or knowledge & experience in th ...
ประสบการณ์:
2 ปีขึ้นไป
ทักษะ:
Accounts Payable, Accounting, ERP
ประเภทงาน:
งานประจำ
เงินเดือน:
สามารถต่อรองได้
- Review and record supplier invoices and employee reimbursements.
- Match invoices with POs, delivery notes, and other documents.
- Prepare payment vouchers and get proper approvals.
- Keep AP records updated in the system.
- Make sure all payments are accurate and on time.
- Help reconcile vendor statements and manage aging reports.
- Coordinate with vendors and teams to solve issues.
- Support month-end closing and audit documentation.
- Handle tax filings (P.N.D.3, P.N.D.53, PP.36, etc.).
- What you will need?.
- Bachelor's degree in Accounting or higher.
- At least 2 years of experience in accounting or related field.
- Strong analytical skills and eye for detail.
- Good understanding of local tax laws and accounting standards.
- Great at time management and handling tight deadlines.
- Familiar with accounting software or ERP systems.
- Willing to learn, flexible, and positive attitude.
- What will you get?.
- Flexible working hours.
- Snack bar and ice cream.
- Massage service.
- Cars & Motorcycle parking allowance (50% support by the company).
- Medical allowance and Dental allowance.
- Annual health check.
- Mental health service.
- Annual salary adjustment & bonus (based on performance).
- Company outing.
- Annual leave days (up to 15 days).
- Special leave day (marriage, anniversary).
- Work Location: Thanapoom Tower Near BTS Nana, MRT Petchaburi.
- Dare to cross the Whiteline!.
ทักษะ:
Accounts Payable, Microsoft Office, Risk Management, Data Analysis, Recruitment
ประเภทงาน:
งานประจำ
เงินเดือน:
สามารถต่อรองได้
- Maintain accounting records including journal entries.
- Maintain and control over fixed assets register.
- Issue and control over invoices, tax invoices, receipts.
- Coordinate with intercompany related to month-end closing and confirmation.
- Correspond with external auditors for statutory financial report.
- Identifying and communicating issues to the Manager.
- Assist accounting manager on ad-hoc assignment.
- Reporting.
- Prepare financial closing, reporting packages, accounts reconciliation and analysis on the responsible areas.
- Prepare detail reports to support manager on the Quarterly Balance Sheet review with CFO.
- 3-5 years' experience in accounting field.
- Graduated Bachelor in Accountancy.
- Accounting standard knowledge (e.g. IFRS, US GAAP, and Local Accounting Standard).
- Preparation of Statutory reports.
- Proficient ERP Software (Oracle is preferable).
- Strong communication and coordination skills.
- Microsoft office packages (mainly Excel and PowerPoint).
- Excellent analytical/numerical skills - including strong attention to detail.
- Experience in preparing financial statements under US GAAP.
- Proficient ERP Software (Oracle is preferable).
- Accounting experience in online travel agency business.
- SeniorAccountingAnalyst.
- 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.
ทักษะ:
Accounting
ประเภทงาน:
งานประจำ
เงินเดือน:
สามารถต่อรองได้
- Maintain accounting records including journal entries.
- Maintain and control over fixed assets register.
- Issue and control over invoices, tax invoices, receipts.
- Coordinate with intercompany related to month-end closing and confirmation.
- Correspond with external auditors for statutory financial report.
- Identifying and communicating issues to the Manager.
- Assist accounting manager on ad-hoc assignment.
- Reporting.
- Prepare financial closing, reporting packages, accounts reconciliation and analysis on the responsible areas.
- Prepare detail reports to support manager on the Quarterly Balance Sheet review with CFO.
- 3-5 years' experience in accounting field.
- Graduated Bachelor in Accountancy.
- Accounting standard knowledge (e.g. IFRS, US GAAP, and Local Accounting Standard).
- Preparation of Statutory reports.
- Proficient ERP Software (Oracle is preferable).
- Strong communication and coordination skills.
- Microsoft office packages (mainly Excel and PowerPoint).
- Excellent analytical/numerical skills - including strong attention to detail.
- Experience in preparing financial statements under US GAAP.
- Proficient ERP Software (Oracle is preferable).
- Accounting experience in online travel agency business.
- SeniorAccountingAnalyst.
ทักษะ:
Accounting, Excel, ERP
ประเภทงาน:
งานประจำ
เงินเดือน:
฿35,000 - ฿45,000, สามารถต่อรองได้
- จัดทำรายงานผลการดำเนินงานประจำเดือนและรายงานสำหรับผู้บริหาร.
- วิเคราะห์รายได้ ต้นทุน ค่าใช้จ่าย กำไร และผลการดำเนินงานของบริษัท/กลุ่มบริษัท.
- วิเคราะห์ความแตกต่างของผลการดำเนินงานเมื่อเทียบกับงบประมาณ งวดก่อน และปีก่อน.
- จัดทำและติดตามตัวชี้วัดทางการเงินพร้อมวิเคราะห์ประเด็นสำคัญที่มีผลต่อผลประกอบการ.
- นำเสนอประเด็นสำคัญและข้อเสนอแนะต่อผู้บริหารเพื่อประกอบการตัดสินใจ.
- การบัญชีและการควบคุมทางการเงิน.
- ตรวจสอบรายการบัญชีและพิจารณาความเหมาะสมของการบันทึกบัญชีให้เป็นไปตามมาตรฐานการบัญชีและนโยบายของบริษัท.
- ตรวจสอบกระบวนการปิดบัญชีประจำเดือนให้ถูกต้องและเป็นไปตามกำหนดเวลา.
- ประสานงานกับผู้สอบบัญชีและหน่วยงานที่เกี่ยวข้องในประเด็นด้านบัญชีและการรายงานทางการเงิน.
- ทบทวนและปรับปรุงระบบการควบคุมภายในและกระบวนการทางบัญชีให้มีประสิทธิภาพ.
- การจัดทำงบการเงินรวมและรายงานระดับกลุ่มบริษัท.
- สนับสนุนและตรวจสอบการจัดทำงบการเงินรวมของกลุ่มบริษัท.
- ตรวจสอบรายการระหว่างกัน การตัดรายการระหว่างบริษัท และรายการปรับปรุงในการจัดทำงบการเงินรวม.
- จัดทำรายงานและข้อมูลทางการเงินสำหรับผู้บริหารระดับสูงและบริษัทในกลุ่ม.
- ประสานงานกับฝ่ายบัญชีของบริษัทย่อยเพื่อให้การรายงานข้อมูลทางการเงินเป็นไปอย่างถูกต้องและครบถ้วน.
- การปรับปรุงกระบวนการและการบริหารทีม.
- พัฒนาและปรับปรุงกระบวนการจัดทำรายงานทางการเงินและ Management Reporting.
- ส่งเสริมการใช้ระบบหรือเครื่องมือเพื่อเพิ่มประสิทธิภาพและลดงานที่ต้องดำเนินการด้วยตนเอง.
- รับผิดชอบและเป็นผู้ประสานงานหลักในประเด็นด้านบัญชีและการวิเคราะห์ทางการเงินที่ได้รับมอบหมาย.
- ปริญญาตรีขึ้นไป สาขาบัญชี การเงิน หรือสาขาที่เกี่ยวข้อง.
- มีประสบการณ์ด้านบัญชี การเงิน หรือ Audit อย่างน้อย 3-5 ปี โดยมีประสบการณ์ในระดับ Senior/Manager จะได้รับการพิจารณาเป็นพิเศษ.
- มีประสบการณ์จาก Audit Firm / Big 4 และมีความเข้าใจในกระบวนการตรวจสอบงบการเงิน จะได้รับการพิจารณาเป็นพิเศษ.
- มีความรู้ความเข้าใจใน TFRS/IFRS และหลักการบัญชีที่เกี่ยวข้องเป็นอย่างดี.
- มีประสบการณ์ในการวิเคราะห์งบการเงิน การจัดทำ Management Reporting และการวิเคราะห์ผลการดำเนินงาน.
- มีประสบการณ์ด้าน Consolidation และการจัดทำงบการเงินรวม จะได้รับการพิจารณาเป็นพิเศษ.
- สามารถวิเคราะห์ประเด็นทางบัญชีและประเมินผลกระทบต่อรายงานทางการเงินได้.
- มีทักษะด้าน Excel และโปรแกรม/ระบบทางบัญชีหรือ ERP ที่เกี่ยวข้อง.
- มีทักษะในการประสานงานกับผู้สอบบัญชี หน่วยงานภายใน และบริษัทย่อย.
- มีทักษะการวิเคราะห์ การแก้ไขปัญหา และสามารถนำเสนอประเด็นสำคัญต่อผู้บริหารได้อย่างมีประสิทธิภาพ.
- CPA หรือคุณวุฒิวิชาชีพด้านบัญชีที่เกี่ยวข้อง จะได้รับการพิจารณาเป็นพิเศษ.
ประสบการณ์:
7 ปีขึ้นไป
ทักษะ:
Business Development, Financial Reporting, Accounting, Assurance, English
ประเภทงาน:
งานประจำ
เงินเดือน:
สามารถต่อรองได้
Bachelor's degree in Accounting, Finance, Economics, or a related field; CPA and/or Master's degree preferred. Qualified accountant with experience in accounting advisory, audit, or financial reporting. Minimum 7 years of relevant experience, preferably within a multinational environment. Strong technical knowledge of IFRS. Experience in financial close, consolidation, and financial reporting processes. Strong communication, stakeholder management, and relationship-building skills with proficiency in English. Ability to work effectively in both local and international environments ...
ประสบการณ์:
1 ปีขึ้นไป
ทักษะ:
Accounting, Assurance, CPA, English, Thai
ประเภทงาน:
งานประจำ
เงินเดือน:
สามารถต่อรองได้
Bachelor's degree in Accounting, Finance, Economics or related degree; CPA qualification and Master's degree are preferable but not essential Able to demonstrate capability to work effectively in both dynamic international and local environments. Able to develop and maintain positive working relationships with colleagues, manager, as well as key personnel in business units Excellent communication skills, strong written and oral presentation skills, bilingual in Thai and English For Analyst Level At least 1-2 years experience in audit or accounting or knowledge & experience in the a ...
ทักษะ:
Financial Reporting, Analytical Thinking, Risk Management, Data Analysis, Accounting
ประเภทงาน:
งานประจำ
เงินเดือน:
สามารถต่อรองได้
- Assurance.
- Industry/Sector.
- Not Applicable.
- Specialism.
- Assurance.
- Management Level.
- Senior Associate.
- At PwC, our people in audit and assurance focus on providing independent and objective assessments of financial statements, internal controls, and other assurable information enhancing the credibility and reliability of this information with a variety of stakeholders. They evaluate compliance with regulations including assessing governance and risk management processes and related controls. In financial statement audit at PwC, you will focus on obtaining reasonable assurance about whether the financial statements as a whole are free from material misstatement, whether due to fraud or error, and to issue an auditor's report that includes the auditor's opinion. Focused on relationships, you are building meaningful client connections, and learning how to manage and inspire others. Navigating increasingly complex situations, you are growing your personal brand, deepening technical expertise and awareness of your strengths. You are expected to anticipate the needs of your teams and clients, and to deliver quality. Embracing increased ambiguity, you are comfortable when the path forward isn't clear, you ask questions, and you use these moments as opportunities to grow. Examples of the skills, knowledge, and experiences you need to lead and deliver value at this level include but are not limited to: Respond effectively to the diverse perspectives, needs, and feelings of others. Use a broad range of tools, methodologies and techniques to generate new ideas and solve problems. Use critical thinking to break down complex concepts. Understand the broader objectives of your project or role and how your work fits into the overall strategy. Develop a deeper understanding of the business context and how it is changing. Use reflection to develop self awareness, enhance strengths and address development areas. Interpret data to inform insights and recommendations. Uphold and reinforce professional and technical standards (e.g. refer to specific PwC tax and audit guidance), the Firm's code of conduct, and independence requirements.
- Education (if blank, degree and/or field of study not specified) Degrees/Field of Study required: Degrees/Field of Study preferred: Certifications (if blank, certifications not specified).
- Required Skills.
- Optional Skills Accepting Feedback, Accepting Feedback, Accounting and Financial Reporting Standards, Accounting Policies, Active Listening, Analytical Thinking, Artificial Intelligence (AI) Platform, Auditing, Auditing Methodologies, Client Management, Communication, Compliance Auditing, Complying With Regulations, Creativity, Data Analysis and Interpretation, Data Ingestion, Data Modeling, Data Quality, Data Security, Data Transformation, Data Visualization, Embracing Change, Emotional Regulation, Empathy, External Audit {+ 24 more} Desired Languages (If blank, desired languages not specified).
- Travel.

อัปโหลดเรซูเม่ของคุณ
AI ของเราจะอ่านให้ แล้วหางานที่ใช่สำหรับคุณ
อัปโหลดเรซูเม่ทักษะ:
Accounting
ประเภทงาน:
งานประจำ
เงินเดือน:
สามารถต่อรองได้
- IPO related services e.g. GAAP conversion, internal control.
- Accounting advisory services e.g. accounting restructuring, GAAP advisory.
- Business transformation services e.g. business improvement, business reorganisation, debt restructuring, going digital.
- Special purpose reports on various business matters.
- Working on the assignment areas.
- Raising and summarising issues to discuss with the clients and team.
- Meeting with team and clients to discuss.
- Prepare reports or presentations and present to relevant stakeholders.
- Training and coaching junior staff.
- Education (if blank, degree and/or field of study not specified).
- Certifications (if blank, certifications not specified).
- Required Skills.
- Optional Skills.
- Accepting Feedback, Accepting Feedback, Accounting and Financial Reporting Standards, Accounting Policies, Active Listening, Analytical Thinking, Artificial Intelligence (AI) Platform, Auditing, Auditing Methodologies, Client Management, Communication, Compliance Auditing, Complying With Regulations, Creativity, Data Analysis and Interpretation, Data Ingestion, Data Modeling, Data Quality, Data Security, Data Transformation, Data Visualization, Embracing Change, Emotional Regulation, Empathy, External Audit {+ 24 more}.
- Desired Languages (If blank, desired languages not specified).
- Travel.
ประสบการณ์:
5 ปีขึ้นไป
ทักษะ:
Accounting
ประเภทงาน:
งานประจำ
เงินเดือน:
สามารถต่อรองได้
- Maintain accurate and up-to-date records of accounts payable, ensuring timely payments and minimizing financial discrepancies for closing monthly report to ensure compliance accounting standards of Company.
- Cooridate with auditor and support to complete annual audited financial statement.
- Support operation team offer recommendations ideas to improve the efficiency of your assigned area of work, protect errors, or tax-related implications and supervise and train junior accounting staff.
- To maintain and update accounting records and systems to ensure compliance with all applicable laws and regulations and cash management.
- To stay up-to-date on the latest accounting practices and regulation.
- Ad-hoc tasks as assigned.
- Key Qualification.
- Bachelor's degree in accounting.
- Experience 5-7 Years in accounting tasks and multinational companies.
- Experience in the fields of real estate business, food courst business and retail business specialising in books, stationery, office supplies, IT, gadget, art&crafts, etc.
- Excellent Microsoft office(Outlook, Excel, Word, PowerPoint, etc.).
- Experience using in ERP or other related accounting programs, knowledge in POS software and computer literacy.(SAP S4/Hana, Argentro, etc.).
- Strong work ethics, handling AP (local, overseas, shipment), interpersonal skills and willing to learn,.
- Reconcile AP, all AP, others related with AP transactions aging by monthly report.
- Reconcile input VAT submit to TRD and deferred input VAT outstanding.
- Prepare monthly tax filling (PND.3,53,54, P.P.36 and P.P.30 in AP part (purchase input VAT report)) and submit to GL and tax team.
- Details oriented, well-organized, and able to follow standard filing procedures.
ประสบการณ์:
5 ปีขึ้นไป
ทักษะ:
Accounting
ประเภทงาน:
งานประจำ
เงินเดือน:
สามารถต่อรองได้
- Prepare and analyze monthly, quarterly, and annual financial reports for the company and its subsidiaries.
- Conduct variance analysis and provide insights on financial performance to senior management.
- Monitor and analyze financial data to identify trends and make recommendations for improvement.
- Develop and maintain financial models for budgeting, forecasting, and long-term planning.
- Ensure compliance with accounting standards and company policies.
- Collaborate with cross-functional teams to support decision-making and drive business growth.
- Lead and mentor a team of junior accountants in day-to-day operations and professional development.
- Assist in the preparation of year-end audit schedules and liaise with external auditors.
- Identify and implement process improvements to enhance efficiency and accuracy in financial reporting and analysis.
- Bachelor's degree in Accounting, Finance, or a related field.
- CPA or equivalent certification preferred.
- Minimum of 5 years of experience in accounting, financial reporting, and analysis, preferably in a multinational company or Big 4 accounting firm.
- Strong knowledge of accounting principles and standards.
- Excellent analytical, problem-solving, and communication skills.
- Proficient in Microsoft Excel and financial modeling.
- Experience with ERP systems, such as SAP or Oracle, is a plus.
- Ability to work independently and manage multiple priorities in a fast-paced environment.
- Competitive salary and benefits package.
- Opportunities for career growth and development.
- Dynamic and diverse work environment.
- Employee discounts on company products and services.
- Health insurance and retirement benefits.
- This position is based in Bangkok, Thailand, and requires the candidate to be legally eligible to work in Thailand.
- If you are a driven and results-oriented individual with a passion for finance and accounting, we want to hear from you! Apply now to join our team at Thai Group Holdings and be a part of our exciting journey towards success.
ประสบการณ์:
3 ปีขึ้นไป
ทักษะ:
Leadership Skill, Accounting
ประเภทงาน:
งานประจำ
เงินเดือน:
สามารถต่อรองได้
- Maintaining financial records in compliance with accepted policies and procedures.
- Preparing accounting reports for management review.
- Filing VAT and withholding tax documentation.
- Submitting corporate income tax returns.
- Creating financial statements meeting statutory requirements.
- Required.
- Thai nationality.
- Bachelor's degree in accounting.
- Proficiency in English (written and spoken).
- Computer literacy with accounting software experience.
- Strong knowledge of Thai Revenue Code.
- Experience.
- Junior level: 1-3 years accounting experience.
- Senior level: Minimum 3 years, preferably with international organizations.
- Candidates should demonstrate commitment to continuous learning, proactive problem-solving abilities, and capability to work under pressure and to tight deadlines.
- Interested candidates can submit applications through the careers portal, uploading CV and cover letter (maximum 2MB each in doc/docx/pdf formats).
- Forvis Mazars operates across 100+ countries, emphasizing career growth, teamwork, and meaningful impact through their Grow, Belong, Impact philosophy.
ประสบการณ์:
5 ปีขึ้นไป
ทักษะ:
Data Analysis, Enthusiastic, Architecture, Electronics, Automation
ประเภทงาน:
งานประจำ
เงินเดือน:
สามารถต่อรองได้
- Serve as a forward deployed AI engineer embedded with the Bangkok manufacturing team to identify high-impact AI opportunities across process engineering, yield improvement, visual inspection, quality control, operations, and reporting workflows.
- Partner with manufacturing, process, yield, quality, and operations teams to understand workflows, pain points, data sources, and decision-making needs.
- Conduct deep operational assessments at manufacturing sites by observing workflows, interviewing frontline employees, supervisors, trainers, quality leaders, and operat ...
- Design, prototype, and productionize AI/ML solutions for manufacturing use cases, including visual inspection, defect classification, anomaly detection, predictive analytics, root-cause analysis, process optimization, and yield improvement.
- Translate business and manufacturing problems into technical solution designs, including data requirements, model approach, architecture, validation strategy, user interface needs, and deployment path.
- Work with structured and unstructured manufacturing data from databases, equipment logs, inspection systems, MES, yield systems, engineering reports, and other plant data sources.
- Communicate technical concepts clearly to both technical and non-technical stakeholders, including engineers, operators, managers, and senior leaders.
- Mentor local engineers and analysts on AI tools, data science methods, model interpretation, and practical AI adoption in manufacturing workflows.
- Required.
- 5+ years of experience in data science, machine learning, AI engineering, manufacturing analytics, process engineering analytics, or a closely related technical field.
- Strong hands-on experience developing and deploying AI/ML models in real-world industrial or manufacturing environments.
- Practical experience using LLMs and generative AI tools for data analysis, workflow automation, knowledge retrieval, reporting, or engineering productivity applications.
- Strong programming skills in Python and common AI/ML frameworks such as PyTorch, TensorFlow, scikit-learn, OpenCV, and LangChain/LlamaIndex or similar frameworks.
- Experience working with relational databases and SQL, preferably including Oracle or other enterprise database systems.
- Ability to build end-to-end prototypes, including data extraction, model development, backend logic, simple user interfaces, dashboards, APIs, or workflow tools.
- Strong understanding of manufacturing data, process variation, yield analysis, quality systems, equipment data, inspection data, and root-cause analysis methods.
- English communication skills good enough to interact with US and Europe teams.
- Preferred.
- Experience in semiconductor, photonics, electronics, optical components, precision manufacturing, or other high-volume advanced manufacturing environments.
- Experience with manufacturing systems such as MES, SPC, yield management systems, equipment automation systems, inspection platforms, or quality management systems.
- We are an equal opportunity employer and value diversity at our company.
- We do not discriminate on the basis of race, religion, color, national origin, sex, gender, gender expression, sexual orientation, age, marital status, veteran status, or disability status.
- We will ensure that individuals with disabilities are provided reasonable accommodation to participate in the job application or interview process, to perform essential job functions, and to receive other benefits and privileges of employment.
- Please contact us to request accommodation.
ประสบการณ์:
5 ปีขึ้นไป
ทักษะ:
Business Development, Vietnamese
ประเภทงาน:
งานประจำ
เงินเดือน:
สามารถต่อรองได้
- Conduct market research and competitor analysis to identify market trends, customer needs, and potential growth opportunities.
- Prepare business proposals, presentations for Board of Management.
- Collaborate with cross-functional teams including Sales, Marketing, Supply Chain, and Technical teams to develop business strategies.
- Analyze sales performance and market data to recommend business improvement initiatives.
- Analyze financial performance to recommend business improvement initiatives.
- Prepare regular business reports and updates for management.
- Business trip allowance.
- Provide work equipment.
- Entitled to benefits in accordance with labor laws: social insurance, health insurance, and unemployment insurance.
- Periodic health check-ups and health insurance.
- Performance-based bonuses according to job performance evaluation and the company's business results.
- Dynamic and international working environment.
- Bachelor's degree in Business Administration, Finance, Economics.
- Mid-career with approximately 5-7 years of relevant experience in Business Development.
- Experience in the Cement, Building Materials, Manufacturing.
- Strong analytical, communication, negotiation, and presentation skills.
- Ability to work independently while managing multiple projects simultaneously.
- Able to communicate in English.
- Thai language proficiency is a strong advantage.
ประสบการณ์:
5 ปีขึ้นไป
ทักษะ:
Google Analytics, Purchasing, Automation, YouTube, SAP
ประเภทงาน:
งานประจำ
เงินเดือน:
สามารถต่อรองได้
- Thailand | IT Applications.
- About the Role.
- The Sr. Specialist, IT Applications (SAP MM & Integration) is responsible for sustaining and advancing DKSH's SAP-enabled business operations across Thailand, ensuring application stability, seamless system integrations, and continuous improvement. This role is a critical enabler of business continuity and contributes directly to DKSH's digital transformation agenda and SAP application roadmap.
- What You Will Deliver.
- Provide end-to-end application support for SAP Materials Management (MM) and SAP Process Integration/Process Orchestration (PI/PO) modules, ensuring consistent system stability and uninterrupted business operations.
- Analyze business requirements and translate them into effective SAP solutions that align with business objectives and Group IT standards.
- Configure, test, and optimize SAP MM processes to drive operational efficiency and process consistency across the organization.
- Design, monitor, and troubleshoot SAP PI/PO interfaces and message mappings to ensure reliable and accurate system integration.
- Investigate and resolve production issues through structured root cause analysis and timely implementation of corrective actions.
- Manage SAP change requests, System Integration Testing (SIT) and User Acceptance Testing (UAT) activities, transport management, and deployment processes.
- Collaborate with business users, functional teams, global IT, and technical teams to deliver enhancements and project outcomes with quality and on schedule.
- Prepare and maintain functional specifications, technical documentation, and support procedures; deliver user training when required.
- Ensure compliance with IT policies, audit requirements, security controls, and application governance standards.
- Support business continuity planning, disaster recovery activities, and application risk management initiatives.
- Build strong relationships with business stakeholders, regional IT teams, and external partners to promote collaboration and customer-centric service delivery.
- Contribute recommendations and subject matter expertise to support decision-making and continuous improvement across the IT function.
- Administrative duties and coordination tasks as required.
- What You Bring.
- Bachelor's Degree in Information Technology, Computer Science, Information Systems, Engineering, or a related discipline.
- Minimum 5 years of SAP application support, implementation, or consulting experience, including strong hands-on expertise in SAP Materials Management (MM) and SAP Process Integration/Process Orchestration (PI/PO).
- Strong functional and technical knowledge of SAP applications and related technologies.
- Proven hands-on experience in SAP MM configuration, testing, support, and process optimization and proficiency in SAP PI/PO administration, interface design, message mapping, monitoring, troubleshooting, and support.
- Working knowledge of integration technologies including Structured Query Language (SQL), Extensible Markup Language (XML), Intermediate Document (IDoc), Remote Function Call (RFC), Web Services, and Application Programming Interfaces (APIs).
- Understanding of SAP integration with Financial Accounting and Controlling (FI/CO), Sales and Distribution (SD), Production Planning (PP), and Warehouse Management/Extended Warehouse Management (WM/EWM) modules.
- Experience with SAP S/4HANA migration is an advantage.
- Knowledge of SAP Integration Suite and Cloud Platform Integration (CPI) is an advantage.
- Experience with cross-functional SAP modules such as SD, WM, EWM, or FI is an advantage.
- Knowledge of ABAP debugging, interface troubleshooting, and technical analysis is an advantage.
- Proficiency in written and spoken English.
- Based in Thailand or available to work from Thailand.
- Be legally authorized to work in Thailand without visa sponsorship.
- Why Join DKSH.
- At DKSH, we help companies grow in Asia and enable people to perform at their best. You will be part of an organization that values accountability, collaboration, and long-term partnerships. We offer a dynamic environment where your contributions are visible and where you can build a meaningful career in IT Applications.
ประสบการณ์:
5 ปีขึ้นไป
ทักษะ:
Vietnamese
ประเภทงาน:
งานประจำ
เงินเดือน:
สามารถต่อรองได้
- Identify and develop new project opportunities in assigned territories or segments.
- Build and maintain relationships with developers, contractors, consultants, and key stakeholders.
- Monitor market trends, upcoming projects, and competitor activities.
- Prepare and execute sales strategies to secure project specifications and approvals.
- Key Account Management.
- Maintain strong relationships with key project clients and strategic accounts.
- Provide professional after-sales support to ensure customer satisfaction and long-term partnership.
- Handle customer inquiries, complaints, and coordinate with internal teams for resolution.
- Project Coordination.
- Work closely with teams to ensure smooth project execution.
- Support customers with technical documentation, approvals, and compliance (e.g., CO/CQ, quality requirements).
- Monitor project progress and ensure timely delivery.
- Reporting & Market Intelligence.
- Prepare regular sales reports, pipeline updates, and forecasts.
- Provide market feedback, customer insights, and competitor analysis.
- Maintain accurate data in CRM systems.
- Business trip allowance.
- Provide work equipment.
- Entitled to benefits in accordance with labor laws: social insurance, health insurance, and unemployment insurance.
- Periodic health check-ups and health insurance.
- Performance-based bonuses according to job performance evaluation and the company's business results.
- Dynamic and international working environment.
- Bachelor's degree in Business, Engineering, Construction, or related field.
- 5-7 years of experience in project sales, preferably in construction materials, cement or building materials.
- Strong network with developers, contractors, and consultants in the Southern market is a plus.
- Good communication, writing report in English.
- Willing to go business trip in other provinces.
ประเภทงาน:
งานประจำ
เงินเดือน:
สามารถต่อรองได้
- วางแผน บริหาร จัดลำดับความสำคัญ และกระจายทรัพยากรในการดำเนินงาน Marketing Campaign และ Promotion ให้สอดคล้องกับเป้าหมาย ยอดขาย และ Traffic.
- กำหนดแผนการดำเนินงานและประสานงานกับทีมที่เกี่ยวข้องอย่างมีประสิทธิภาพ เพื่อให้ Campaign ดำเนินงานได้ตาม Timeline และมาตรฐานที่กำหนด.
- ติดตาม รวบรวม และวิเคราะห์ผล Campaign / Promotion พร้อมสรุปแนวทางพัฒนาเชิงทฤษฎีและเทคนิคทางวิชาชีพสำหรับกิจกรรมในอนาคต.
- ปฏิบัติงานด้วยตนเองในการขับเคลื่อน Marketing Project ที่ได้รับมอบหมายอย่างมีประสิทธิภาพ ตั้งแต่การวางแผนจนถึงการสรุปผล.
- Local Store Marketing (LSM) Strategy & Operationsดูแล วางแผน และพัฒนา Local Store Marketing (LSM) เพื่อสนับสนุนยอดขายของแต่ละสาขา โดยประยุกต์ใช้ความรู้และประสบการณ์ในสายวิชาชีพ.
- วิเคราะห์ผลการดำเนินงานและศักยภาพของสาขา เพื่อหาโอกาสในการทำ Local Marketing ที่เหมาะสมกับพื้นที่และกลุ่มลูกค้า.
- กำหนดแนวทาง และดูแลแก้ไขการปฏิบัติงาน LSM ร่วมกับทีม Operations และสาขา ให้สอดคล้องกับนโยบายและกระบวนการที่กำหนด.
- ติดตามผล LSM Activity นำ Data Insight มาพัฒนาแผนงานอย่างต่อเนื่อง พร้อมหาโอกาสสร้าง Local Partnership เพื่อเพิ่ม Traffic และยอดขาย.
- งานวิเคราะห์ผลงานการตลาดและยอดขาย (Sales & Marketing Performance Analysis)ติดตามและวิเคราะห์ยอดขาย Trend สินค้า Campaign และ Promotion อย่างสม่ำเสมอ โดยใช้หลักการวิเคราะห์ข้อมูลการตลาด.
- สรุป Insight หาโอกาสทางธุรกิจ และจุดที่ต้องแก้ไข เพื่อจัดทำรายงานสรุปผลงาน (Performance Report & Post-Campaign).
- จัดทำแผนรับมือ (Action Plan) และให้ข้อเสนอแนะแก่ทีม เพื่อสนับสนุนการเติบโตของยอดขายและผลการดำเนินงานธุรกิจ.
- งานวิเคราะห์ตลาดและพฤติกรรมผู้บริโภค (Market & Business Insights)อัปเดตข้อมูลคู่แข่ง โปรโมชั่นในตลาด พฤติกรรมลูกค้า และเทรนด์ใหม่ ๆ ในธุรกิจ Food & Beverage.
- นำข้อมูลเทรนด์และพฤติกรรมลูกค้ามาคิดเป็นไอเดียกิจกรรมการตลาดใหม่ ๆ.
- สนับสนุน Marketing Manager และ Managing Director ในการจัดทำ Marketing Plan และ Business Review ภาพรวม.
- งานประสานงานและติดตามผล (Cross-functional Coordination)ปฏิบัติงานร่วมกับ Operations, Store และทีมภายใน ให้เป็นไปตามกฎระเบียบ มาตรฐาน และนโยบายขององค์กร.
- ประสานงานและบริหารความสัมพันธ์กับ External Partner หรือ Supplier ตามขอบเขต Project.
- บริหารและติดตาม Key Action ของแต่ละ Project ให้บรรลุผลลัพธ์ตามแผนงานที่กำหนด.
ประสบการณ์:
2 ปีขึ้นไป
ทักษะ:
Microsoft SQL Server, Digital Marketing, Data Analysis, Negotiation, Recruitment
ประเภทงาน:
งานประจำ
เงินเดือน:
สามารถต่อรองได้
- Experimentation and optimizing campaign performance: Experiment with ads/campaign structures and bidding& pricing strategies on partners such as Google, Bing, Tripadvisor, Trivago and other search engines. Adapt to new product features and roll out changes from successful tests.
- Modeling: Analyze vast amounts of data generated by experiments, develop predictive models using data science techniques (eg. understanding impact on bookings from large scale TV campaigns or demand elasticity from pricing optimization) and liaise with ...
- Reporting, analysis and insights: Building dashboards to track performance, derive insights, understand growth levers and communicate recommendations via presentations to stakeholders.
- Bachelor's degree or higher from top university in a quantitative subject (computer science, mathematics, engineering business or science).
- Excellent verbal and written communication skills in English.
- 2+ years experience in data crunching from top-tier consulting, investment banking, private equity or strategy/business for a fast-growing globaltech company.
- Experience in one or more data analysis packages or databases, eg., SAS, R, SPSS, Python, VBA, SQL and visualization tools, eg. Tableau, Power BI.
- Ability to move fast and be efficient, making decisions on objective evidence rather than subjective gut feel.
- Innate desire to take ownership, make an impact and influence outcomes.
- Excellent organizational skills, attention to detail and ability to work independently.
- Experience in digital marketing or ecommerce.
- Experience with A/B testing and other testing metrics.
- Strong presentation and negotiation skills.
- Skills that foster collaboration and team spirit.
- STRA#ANLS#MRKT#3#LI-TR2 data representation data analysis SQL data analytics analytics python (programming language) data mining data science r (programming language) tableau analytical skills data visualization databases business analysis business intelligence (bi) microsoft sql server machine learning statistics power bi.
- 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.

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