Responsibilities:

  • Responsible for all treasury and cash management functions for company.
  • Monitor and forecast company cash flow to meet daily cash requirements for company.
  • Monitor and supervise team for day-to-day activities to meet the financial obligations of the organization.
  • Review and ensure policies and procedures are met with the organization's objectives, and regulatory requirement.
  • To assist in the planning and execution of audits covering financial and operational related areas.
  • Provide guidance and solutions for new business strategies covering business impact, financial impact and operational areas.
  • Undertaking other assignments from time to time.
  • Liaison with other team functions for all related to finance matters

Qualifications:  

  • Native fluency in Thai and good command of English (reading, writing, listening and speaking)
  • Bachelor’s Degree in Business, Accounting, Economics or a related field is preferred
  • Minimum 4 years’ experience in Business Accounting, Corporate Finance, Operations Budgeting or Operations field is preferred
  • A proactive, fast learner, team player with ability to work in dynamic environments
  • Strong logical deduction and synthesis skills
  • Have strong interpersonal & communication skills
  • Service-minded and positive with a "can do"  attitude
  • Detail oriented, good analytical and problem-solving skills
  • Independent and able to work under pressure
  • Result oriented and good team player
  • Knowledge of SQL is a plus
  • Experience with e-Commerce is a plus

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