32 Corporate Finance jobs in Thailand
Corporate Finance
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Key Responsibilities:
- Payment Verification: Verify all domestic and international payment documents, ensuring accuracy and compliance. Must have working knowledge of Telegraphic Transfer (T/T), Letter of Credit (L/C), and Foreign Exchange (FX) transactions.
- Transaction Processing: Ensure the accuracy of cheque printing and meticulously process fund transfers through various internet banking platforms.
- Banking Product Management: Manage, procure, and implement modern banking products and services, such as fleet cards (fuel cards) and EDC terminals, to keep our financial operations up-to-date.
- Cash Flow Management: Prepare and monitor cash flow statements for two affiliated companies to maintain optimal liquidity and manage financial resources effectively.
- Bank Document Coordination: Prepare, manage, and submit all necessary financial documents to banks for various facilities, including Promissory Notes (P/N) and Bank Guarantees (B/G).
- Bank Reconciliation: Perform month-end closing activities by reconciling bank balances in the SAP system with official bank statements to ensure accuracy.
- Insurance & Risk Management: Coordinate and oversee the company's insurance policies to effectively manage and mitigate business risks.
- Financial Analysis: Prepare and conduct analysis of financial statements as required by management.
Qualifications:
- Bachelor's degree in Finance, Accounting, or a related field.
- Proven experience in a finance, treasury, or accounting role.
- Solid understanding of banking procedures, financial instruments (T/T, L/C, P/N, B/G), and international payment processes.
- Hands-on experience with SAP or a similar ERP system is highly preferred.
- Proficiency in using internet banking platforms for corporate transactions.
- Strong analytical skills with a high level of accuracy and attention to detail.
- Excellent organizational and coordination skills.
- Ability to work independently and manage multiple tasks effectively.
- Good command of both written and spoken English.
Corporate Finance
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Position Overview:
We are seeking a Finance Associate Senior Specialist, responsible for managing and optimizing our financial operations to support the company's growth objectives. This role requires a proactive approach to financial planning, analysis, and reporting to ensure the financial health of the organization. The Finance Associate works closely with CFO to develop and implement financial strategies, manage budgets, and provide insightful financial data that drives strategic decision-making.
Key Responsibilities:
1) Financial Planning & Management:
- Collaborate with executives in budgeting and effective capital planning.
- Analyze financial performance to propose ways to improve efficiency and profitability.
- Continuously monitor cash flow and manage financial risks.
2) Data Analysis & Reporting:
- Collect and analyze data on sales, costs, and profits of company products.
- Prepare analytical summary reports for presentation to executives for strategic decision-making.
- Utilize advanced Excel or BI software (Power BI, Tableau) for trend forecasting and in-depth analysis.
3) Financial Advisory & Process Improvement:
- Provide advice and recommendations to the management team and relevant departments on issues related to costs, pricing, or investments.
- Assess existing financial processes and suggest improvements to reduce redundancies, increase accuracy, and save costs.
- Update and present new financial measures or laws/regulations that affect the business.
4) Cross-functional Collaboration:
- Work with marketing, production, product development, and purchasing departments to provide financial and cost information to support business decisions.
- Collaborate on joint strategies for new products or promotional plans.
- Communicate necessary financial information to various departments to promote understanding and effective collaboration.
5) Acting Finance Role:
- Serve as the primary contact for the internal team and external parties regarding routine financial matters or urgent reporting.
- Coordinate information, present alternatives, and prepare proposals for senior management's final decision or response.
Qualifications:
- Bachelor's degree or higher in Finance, Business Administration, Economics, or related field.
- Sufficient accounting knowledge to understand and analyze financial statements (direct accounting document inspection is not necessary).
- At least 5 years of experience in finance, data analysis, or business consulting.
- Experience in the food, beverage, or retail industry will be considered a plus.
- Analysis and Planning: Expertise in financial analysis, budgeting, and cash flow management.
- Tool Usage: Proficient in advanced Excel or BI software for presenting data and conducting in-depth analysis.
- Communication: Effective in presenting financial data to executives and coordinating with various departments.
- Team Management and Leadership: Capable of overseeing and supporting a finance team in the absence of executives.
- Highly responsible and able to maintain the company's financial confidentiality effectively.
- Ready to learn, adapt, and work under pressure.
- Good interpersonal skills and enjoys teamwork with personnel from various departments.
Working Schedule :Mon-Fri, 08:00-17:00
Location:VSC Samyan Mitrtown
Occasional travel to factory sites or company locations as needed
Corporate Finance
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Roles & Responsibilities
Develop and Implement Financial Best Practices
- Ensure financial processes are aligned with industry best practices, overseeing the company's international business profitability, as well as the company's consolidated bottom line.
- Ad-hoc projects, e.g., analysis of CAPEX and M&A cases
- Optimize financial workflows to enhance efficiency and compliance.
Data-Driven Financial Analysis
- Utilize data analytics to identify commercial trends and gaps, financial risks, and opportunities to P&L and cash flow.
- Provide insights based on quantitative analysis to improve financial strategies.
Business Performance Management
- Assess the financial impact and profitability of business initiatives in each country or region.
- Work closely with international commercial units to align financial goals with business growth
Financial Performance Communication and Reporting
Prepare financial reports and presentations for senior management, the Executive Committee, and the Board of Directors.
Ensure clear and concise communication of financial insights in English.
Investor Relations Management
- Prepare and present strategic and financial reports to potential investors, shareholders, analysts, and fund managers.
- Develop and execute investor communication plans to foster long-term relationships.
Qualifications
- Bachelor's or Master's degree in Finance, Accounting, Business Administration, or a related field.
- Strong knowledge of corporate finance and financial best practices.
- 5 Years of experience in financial analysis, reporting, and strategic planning.
- Data-driven mindset with proficiency in financial modeling and analytics tools.
- Familiarity with the FMCG industry and its financial dynamics.
- Excellent English communication skills (written and spoken).
- Strong analytical, problem-solving, and leadership skills.
- Fast learner with high discipline and commitment to excellence.
Corporate Finance
Posted today
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- Bachelor's or Master's degree in finance, accounting, economics, business or related field
- 3-5 years of experience in FP&A, business analysis or financial analysis at large public multi-national company
- Strong financial planning skills with ability to understand the details and identify the impact on the overall company
- Experience in ERP is preferable (or any other systems related to planning/reporting)
- Comfortable with learning new system tools as well as business complexity
- An understanding of basic accounting and financial reporting concepts
- Proficient in Excel and good in PowerPoint
- Strong analytical and problem-solving skills with good interpersonal skills
- Good communication skills both written and verbal in English and Thai
Corporate Finance
Posted today
Job Viewed
Job Description
Responsibility:
ㆍ To prepare documents
ㆍ To prepare financial models
ㆍ To help on business development
ㆍ To update analyst presentation
ㆍ To serve across all the business functions
This is your chance to gain:
ㆍ Understanding of Finance and Accounting
ㆍ Financial Analysis Skills
ㆍ Experience with Financial Tools
ㆍ Communication and Teamwork Skills
ㆍ Project Management and Problem-Solving Skills
ㆍ Professional Networking
Requirements:
ㆍBachelor degree in Finance, Economic, Accounting, Business Management
or related
ㆍ Available for full-time Internship (1 month)
ㆍ Must have good command both speaking and writing in English
ㆍ Strong computer literacy especially advance skill in Excel
ㆍ There are TOEIC 700 scores and IELTS test 8 scores
ㆍ Minimum grade 3.30
Working location: Near MRT Bang Phlat
Corporate Finance
Posted today
Job Viewed
Job Description
Responsibility:
ㆍ To prepare documents
ㆍ To prepare financial models
ㆍ To help on business development
ㆍ To update analyst presentation
ㆍ To serve across all the business functions
This is your chance to gain:
ㆍ Understanding of Finance and Accounting
ㆍ Financial Analysis Skills
ㆍ Experience with Financial Tools
ㆍ Communication and Teamwork Skills
ㆍ Project Management and Problem-Solving Skills
ㆍ Professional Networking
Requirements:
ㆍBachelor degree in Finance, Economic, Accounting, Business Management
or related
ㆍ Available for full-time Internship (1 month)
ㆍ Must have good command both speaking and writing in English
ㆍ Strong computer literacy especially advance skill in Excel
ㆍ There are TOEIC 700 scores and IELTS test 8 scores
ㆍ Minimum grade 3.30
Working location: Near MRT Bang Phlat
Corporate Finance
Posted today
Job Viewed
Job Description
โปรดแนบ CV / Resume ที่มีรายละเอียดชัดเจนพร้อมรูปปัจจุบัน และระบุตัวเลขเงินเดือนที่คาดหวัง
Job Description
- Lead annual budgeting process and manage rolling forecasts.
- Responsible for drive budgeting system and lead process improvement initiatives.
- Monitor and control budget spending vs approved budget.
- Prepare and analyze monthly performance reports and prepare related materials including board presentations and various reports to support management decision making.
- Maintain reporting tools to deliver meaningful insights of hotel business performance and variety of business metrics.
- Support team to deliver business information and key financial implication of business as required by the Management.
- Perform other duties as assigned.
Qualification
- Bachelor's or Master's degree in finance, accounting, economics, business or related field
- 3-5 years of experience in FP&A, business analysis or financial analysis at large public multi-national company
- Strong financial planning skills with ability to understand the details and identify the impact on the overall company
- Experience in ERP is preferable (or any other systems related to planning/reporting)
- Comfortable with learning new system tools as well as business complexity
- An understanding of basic accounting and financial reporting concepts
- Proficient in Excel and good in PowerPoint
- Strong analytical and problem-solving skills with good interpersonal skills
- Good communication skills both written and verbal in English and Thai
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Senior Corporate Finance
Posted today
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Responsibility
Lead complex financial modeling and valuation for strategic initiatives including M&A, fundraising, and business restructuring.
Apply investment banking methodologies (e.g., DCF, LBO, Comparable Transactions) to assess opportunities and risks.
Oversee financial forecasts, budgets, and scenario analyses to support executive decision-making.
Drive capital raising activities through debt and equity markets; manage relationships with banks, investors, and financial advisors.
Prepare and deliver pitch books, investor presentations, and board-level financial reports.
Lead due diligence processes and coordinate with legal, financial, and operational teams during transactions.
Monitor financial performance and recommend strategies to improve capital efficiency and shareholder value.
Qualifications
Bachelor's or Master's degree in Finance, Economics, Accounting, or related field.
7 - 10 years of experience in corporate finance, with at least 2 years in investment banking or financial advisory.
Advanced proficiency in financial modeling, valuation techniques, and strategic analysis.
Strong leadership, communication, and stakeholder management skills.
Professional certifications such as CFA, CPA, or MBA are highly desirable.
Senior Corporate Finance
Posted today
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Job Description
Job Role & Responsibility
Lead complex financial modeling and valuation for strategic initiatives including M&A, fundraising, and business restructuring.
Apply investment banking methodologies (e.g., DCF, LBO, Comparable Transactions) to assess opportunities and risks.
Oversee financial forecasts, budgets, and scenario analyses to support executive decision-making.
Drive capital raising activities through debt and equity markets; manage relationships with banks, investors, and financial advisors.
Prepare and deliver pitch books, investor presentations, and board-level financial reports.
Lead due diligence processes and coordinate with legal, financial, and operational teams during transactions.
Monitor financial performance and recommend strategies to improve capital efficiency and shareholder value.
Qualifications
Bachelor's or Master's degree in Finance, Economics, Accounting, or related field.
7 - 10 years of experience in corporate finance, with at least 2 years in investment banking or financial advisory.
Advanced proficiency in financial modeling, valuation techniques, and strategic analysis.
Strong leadership, communication, and stakeholder management skills.
Professional certifications such as CFA, CPA, or MBA are highly desirable.
Skill
Proven experience in deal execution and transaction structuring.
Familiarity with ERP systems (e.g., SAP, Oracle) and financial databases (e.g., Bloomberg, Capital IQ).
Finance: Corporate Finance
Posted today
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Corporate Finance (Financial Analyst / Assistant Manager / Manager)
- Securing funding to support operation in term of short-term loan or working capital loan and equity investment in term of corporate loan, bonds and raise equity
- Building consolidated Financial Model to support in Corporate Finance strategy, including developing and implementing annual strategic operating plans, resource requirements, and revenue/operating income targets
- Providing support in annual operating and business fiscal plans (budgets)
- Managing loan agreement in order to ensure confidence that the company can make the loan drawdown, pay back the principle, interest, and dividend up to expectation and ensure compliance with all covenants under loan agreements
- Preparing overall corporate specific deliverables related to financial information or contractual requirements for BOD/ shareholders/ bankers
- Ensuring timely and accurate financial reports and plans, and presenting them to the Managements to increase financial transparency in management reporting
Performing financial analysis for the company financial status planning and controlling to comply with conditions of all stakeholders' conditions (Lenders, Shareholders)
Bachelor's or Master's degree in Finance, Accounting, Business Administration or related fields
- Minimum 2 - 4 years' experience in banking or corporate finance function in any companies
- Experience in corporate finance or investment banking is required
- Good financial planning and financial model knowledge
- Ability to use MS Excel
- Experience in power generation, renewable energy, hydropower, gas and infrastructure & utilities would be an advantage
- High accountability, strong analytical skills, and confidence in turning facts into recommendations
- Creativity, problem solving skills, negotiation and systematic thinking
- Fluent in English both written and verbal (Minimum 750 TOEIC score)
- Goal–Oriented, Unity, Learning, Flexible