***Only candidates with valid authorization to work in Thailand will be considered.***
Key Responsibilities
- Lead cash flow management, liquidity planning, and treasury operations, with a primary focus on Thailand and CLMV markets
- Prepare and analyze cash flow forecasts and overall financial performance
- Oversee budgeting, financial planning, and cost control
- Ensure accurate accounting operations and timely financial reporting
- Partner with Sales, Marketing, and Operations to support business initiatives
- Provide financial insights for campaigns, product launches, and expansion projects
- Drive improvements in finance processes, internal controls, and compliance
Qualifications
- Bachelor's degree in Finance, Accounting, or related fields
- 5–8 years of experience in Finance roles
- Strong experience in Treasury cash management (required)
- Background in IPO readiness is a plus
- Background in Healthcare, Pharmaceutical, Beauty, or Aesthetic business is a plus
- Strong analytical skills in financial planning and cash flow management
- Good command of English
Any interested candidates, please click Apply or send your CV to [Confidential Information]