Oversee and manage all finance and accounting operations for the Vietnam entity.
Ensure compliance with applicable laws and regulations in coordination with consultants.
Ensure accurate maintenance of books of accounts and relevant documentation.
Responsible for timely compliances (PIT, CIT, FCT, Insurances, etc.) in coordination with consultants.
Prepare monthly, quarterly, and annual financial statements.
Develop and prepare cost centre-wise MIS reports to support decision-making.
Analyse financial data and provide insights to senior management.
Manage cash flow and working capital to ensure liquidity and optimize financial performance.
Monitor banking activities and ensure timely banking transactions.
Treasury management
Handle special projects and ad hoc requests as assigned by senior management.
