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- Create budgets and forecasting the company's cash flow.
- Create a financial strategy that includes strategies for opportunity forecasts and risk avoidance.
- Make sure invoices are correctly reviewed, tagged, and entered into the general ledger.
- Keep track of and managing a company's cash inflows and outflows can help it pay its debts and maximize investment.
- Coordinate with outside tax, compliance, and financial auditors.
- Establish and maintaining corporate guidelines and internal controls, particularly those related to expenditure, to protect financial resources and reduce fraud.
- Analyzing and generating reports from the accounting and finance team.
- Ensure adherence to applicable banking and industry rules, tax laws, and local laws.
- Establish and constructing processes for financial operations to optimize costs.
- Give financial reports and research to help making decisions.
- Take care of salary handling and making sure labor taxes are paid.
- Prepare financial and tax statements for businesses.
- Provide guidance to firm management about operational activities, drawing upon a comprehensive understanding of the underlying business.
- Make reports for the investment fund.
- Bachelor's Degree in Finance/Accounting or related majors
- At least 3-4+ years of work experience in Auditing
- Proven experience as a Finance Manager
- Experience in building team for start-up company is an advantage
- Work experience in Retail/FMCG/Hotel... is preferred
- Strong fluency with Excel formulas and functions
- Strong analytical and data gathering skills
- Ability to work in a fast-paced, team-oriented environment
- Fluent in English
Finance Manager - Ho Chi Minh City, Việt Nam - ALOHA CONSULTING GROUP
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Requirements