Head/Senior Manager, Group Consolidation and Financial Reporting
Hybrid
Bangkok, Thailand
Posted: July 18, 2024
Position Details
What You’ll Do:
Manage and participate at a group level in all accounting operations, cashflow forecast, monthly/quarterly/year-end closing, group reporting and related financial statements.
Give clear guidance to group entities and manage monthly financial reports, reporting packages, financial disclosure statements and reconciliation of accounts.
Ensure all financial transactions are recorded properly and comply with company policies and accounting standards.
Draft and present accounting memos on key audit matters, management judgment areas and complex accounting issues to the management for approval.
Review and improve accounting workflows and procedures, ensuring they provide a comprehensive framework for business activities, new entity set-up, IT system architecture, and accounting entries.
Participate in the ongoing development/establishment of accounting policies and procedures and operational processes.
Provide proper accounting advice and assist in tax structuring on new business initiatives and external partnerships.
Lead team to simplify working process, introduce internal control mind-set, reduce manual work, and implement related systems.
Communicate effectively with external (Thai and non-Thai) auditors, advisors, internal control advisors, revenue department, regulators, banks and others for all treasury, accounting and tax activities.
Business partnering with management and key business leaders and demonstrating ability to effectively explain variances, key performance drivers and other financial risks / matters.
Supervise and mentor finance team members, fostering a culture of continuous improvement and professional development.
Handle special projects or others as assigned by the Line Manager.
What You’ll Need:
Bachelor’s Degree or higher In Accounting or Business (CPA is preferred)
>12 years of working experience in Audit and Accounting, preferably in fast-paced, dynamic and IPO/stock-exchange listing experience.
Proven knowledge of accounting regulations, practices and standards (IFRS/TFRS) with strong understanding of local taxation regulations.
Good knowledge of working with/implementing ERP systems, MS Office, settlement systems and working with payment service providers.
English proficiency in writing and speaking.
Experience working in a flexible, fast-paced, and challenging environment.
Positive attitude, a fast-learner, detail-oriented, critical thinking and problem solving skills; team player with a willingness to help where required.
Self-motivated, commitment, result-oriented mindset, and flexibility to work on a tight deadline.
Skills
Accounting Issues
Financial Risk Management
Accounting Standards
Financial Statements
Critical Thinking
Functions
Accounting & Finance
Job Overview
Job Type:
Hybrid
Company
LINE MAN Wongnai
147 active jobs
Industry:
Consumer Goods, Retail & E-Commerce
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