Thông Tin Tuyển Dụng
Hồ Chí Minh
2 - 5 Năm
Oversee and ensure smooth operations within the Finance department
Responsible in management reporting, financial analysis, cash-flow management, month-end closing and day to day Trading P&L report
Responsible & managing the budget planning process - build a model of business that projects performance into the future
Track business performance and continuously improve the model over time
Identify areas of improvement and spearhead process improvement projects
Liaising with external partners on audit and taxation related issues
Liaising internally with Traders, Operators and externally with customers on the L/C related issues
Issuing, reviewing, and negotiating letter of credits (L/C), liaising with bank on any issues.
Provide guidance to the management team and Trading teams by means of recommendations and continually challenge the team to improve and innovate processes related to project budgets.
Responsible for Regular performance reporting including KPIs as well as financial and volume forecasts.
Cash flow and working capital optimization.
Liaise with customers to ensure project payment terms and milestones are adhered to.
Risk management of the project portfolio.
Acting as a business partner to the organization with a focus on value creation.
- Key skills:
Experience in Trading / Commodity Industry / Budgeting / Project Controlling
Trade Finance, Loan and Debt management
Good Understanding of Transfer pricing system
- Role Requirements:
Business Partnering skills and a good team player
Commercially-oriented with high energy, a ‘can-do’ attitude and hands-on
Possess business acumen and strong commercial sense
Experience in managing risk related to price, forex, trading, counterparty and credit
Master’s degree in business – Finance/Accounting, ACCA/CPA is a plus
Experience in Trading / Commodity Industry
Good Understanding of transfer pricing
At least 3 years of Trade Finance working experience, experience in a soft commodity is a plus
Hồ Chí Minh