Processing
Level
Deadline
06/06/2025
Amount of Vacancies
1 people
Gender
Male
Experiences
Degree
bachelor degree
Workplace
- Synthesize and search for necessary information to serve the Company's financial and cash flow forecasting;
- Evaluate the Company's financial performance;
- Analyze, establish management tools and minimize financial risks;
- Develop plans, financial models, budget plans, strategies;
- Synthesize and report to the management board on financial situation and performance;
- Support the management of the Company's general financial activities, including budgeting, financial transfers or other financial activities;
- Propose solutions for financial management activities according to FS (Financial Schedule);
- Participate in developing/improving financial management documents and cost control standards (Financial regulations; Internal spending regulations; Activity standards...)
- Participate in building/improving software related to budget management and decentralization in the Company's financial sector.
- Periodic and ad hoc work reports as required by the Chief Accountant and the Company's Board of Directors.
- Perform other tasks assigned by the Company's Board of Directors.