Tax and Treasury Manager

Job Description

Your future company:

The world's leading FMCG company. They are looking for a Tax and Treasury Manager who will be responsible for tax and cash operations while ensuring all operations are in compliance with statutory, internal control, and financial policies from the head quarter. 

Your responsibilities:

Tax operation and management
  • Handle tax registration, calculation, filing and returns for required entities
  • Issue and manage tax invoices
  • Declare monthly / quarterly tax time
  • Prepare local tax budget
  • Provide tax reports and analysis
  • Support internal and external tax audit
Cash operation, planning and forecasting
  • Handle local tax payment and cash collection
  • Manage and record on hand cash
  • Check and make sure local stock level according to HQ guideline
  • Open, change and cancel local bank accounts
  • Handle local bank annual inspection
  • Prepare direct cash flow
  • Support cash flowing planning when required

Our key requirements:

  • University Degree on finance, accounting, or economics 
  • Experience in reporting, treasury and shared service center operation
  • 8 years’ experience in Accounting, Treasury, Planning and related areas
  • Having comprehensive knowledge of budget management, KPI setting and strategic long term planning
  • Having experience working at Big 4 companies or working in brewery industry is a plus

About you:

  • A creative individual
  • Fluent in English and Vietnamese
  • Proficient in MS Office
  • Have knowledge in PDCA
  • Analytical skills
  • Strong interpersonal skills
If you are interested in the postion, apply now!