Phúc lợi
- Laptop
- Chế độ bảo hiểm
- Du Lịch
- Phụ cấp
- Du lịch nước ngoài
- Chế độ thưởng
- Chăm sóc sức khỏe
- Đào tạo
- Tăng lương
- Nghỉ phép năm
Mô tả Công việc
Key Responsibilities:
- Business and Financial Analysis: Conduct timely and accurate analysis of business operations, including financial performance metrics, operating expenses, and key revenue drivers. Provide comprehensive financial analysis and evaluate the overall financial situation of the company and its subsidiaries.
- Budget Development and Management: Lead the development, approval, and ongoing management of the company’s operating budget. Ensure that the budget aligns with the company’s strategic goals and provides a roadmap for financial stability and growth.
- Cash Flow Forecasting and Management: Efficiently forecast and manage cash flow to meet the company’s financial obligations. Compare actual cash flow with projections to ensure effective cash management and suggest improvements where necessary.
- KPI Establishment: Design and implement appropriate KPIs for various departments to track and improve operational performance. Use these metrics to evaluate the effectiveness of business strategies and recommend adjustments to improve financial outcomes.
Key Duties:
- Conduct comprehensive financial analysis and provide insights into the company’s financial health by monitoring and analyzing financial reports and key financial indicators. Regularly present these findings to senior management.
- Evaluate the performance of various revenue streams, cost centers, and overall financial efficiency, offering data-driven recommendations to support managerial decision-making.
- Analyze monthly, quarterly, and annual financial reports, identifying trends and variances, and offering strategic suggestions for improving the company’s financial and operational performance.
- Oversee cost control efforts, including analyzing cost structures, measuring cost-effectiveness, and recommending areas for efficiency improvements.
- Supervise and monitor the budgets of the company's subsidiaries. Prepare and consolidate budget utilization reports, compare actual versus budgeted figures, and perform variance analysis.
- Ensure the effective management of actual cash flow, tracking and comparing it to forecasted figures. Provide accurate and timely cash flow projections to help optimize resource allocation.
- Provide recommendations to the Chief Financial Officer (CFO) regarding the allocation of cash flow between subsidiaries, ensuring efficient use of resources across the Group.
- Collaborate with department heads and senior management to set appropriate KPIs aimed at enhancing business efficiency and financial performance across all areas of the company.
- Offer strategic advice on planning mechanisms, evaluation tools, and performance metrics to measure the effectiveness of business initiatives across the Group.
- Perform ad-hoc analysis to support business operations, management decisions, and the execution of strategic business plans.
Yêu Cầu Công Việc
Qualifications and Experience:
- Bachelor’s degree in Economics, Finance, Business Administration, or a related field. A Master's degree or professional certification (e.g., CFA, CPA) would be an advantage.
- A minimum of 3-5 years of relevant experience in financial planning, budgeting, and analysis, preferably in large multi-industry corporations or groups.
- Strong analytical and problem-solving skills with the ability to assess complex financial data and provide actionable insights.
- Expertise in financial modeling, forecasting, and variance analysis.
- Excellent organizational and time management skills, with the ability to handle multiple priorities in a fast-paced environment.
- Strong communication and presentation skills, with the ability to clearly convey complex financial information to non-financial stakeholders.
- High degree of integrity, professionalism, and confidentiality, with a strong commitment to upholding financial principles and practices.
- Meticulous attention to detail, accuracy, and reliability in managing financial data and reporting.
Benefits:
- Work in a dynamic, stable, and long-term environment that promotes growth and development within the company.
- Competitive compensation package, along with social insurance and other benefits in line with the labor law and company policies.
- Opportunities for career advancement and professional development.
- Friendly and supportive work environment with regular team-building activities.
- Working hours: Monday to Friday
Địa điểm làm việc
Thông tin khác
- Bằng cấp: Cao đẳng
- Độ tuổi: Không giới hạn tuổi
- Lương: 45 Tr - 55 Tr VND
Công Ty Cổ Phần Đầu Tư Asia Dragon được thành lập vào ngày 11/07/2006. Đây là doanh nghiệp đầu tiên tại Việt Nam sản xuất các loại sợi nhựa tổng hợp cung cấp cho ngành nông nghiệp. Những sản phẩm này được sử dụng chủ yếu ở các quốc gia có nền nông nghiệp phát triển như Châu Âu, Mỹ và Úc.
Asia Dragon luôn tạo điều kiện tốt cho mọi thành viên được tự do phát triển tài năng. Công ty khuyến khích các cơ hội phát triển và tạo điều kiện thuận lợi để các cá nhân được thăng tiến và phát triển theo nguyện vọng và sở trường.
Chính sách bảo hiểm
- Được hưởng các chế độ bảo hiểm : BHYT, BHXH, BHTN
- Hưởng quyền lợi bảo hiểm 24/7
Các hoạt động ngoại khóa
- Du lịch hàng năm
- Team building theo quý
- Các hoạt động vui chơi, giải trí, ca hát thường xuyên
- Thể thao: Đá bóng, bóng chuyền,..
Lịch sử thành lập
- Công ty được thành lập năm 2006
Mission
Tại Asia Dragon có nhiều sự lựa chọn giúp cho các thành viên có điều kiện thử thách và chứng minh năng lực của mình, là nơi hội tụ những ước mơ, hoài bão, những ý chí quyết tâm vươn lên tầm cao mới.