Agrosolar Cambodia ត្រូវការជ្រើសរើសបុគ្គលិកផ្នែកFinancial Controllerចំនួន 5 នាក់៖
Recruitment process:
Interested applicants should send their CV to hr.cambodia@agrosglobal.com
please feel free to reach out on mobile +855 11206536, Telegram @ +855 66898748
OR by Facebook Messenger @ https://www.facebook.com/agrosolarcambodia
* Key Responsibilities
Full-Cycle Accounting
• Oversee full-cycle accounting processes, including Accounts Receivable (AR), Accounts Payable (AP), General Ledger (GL), payroll, and financial statement preparation in accordance with local and international standards (e.g., IFRS/GAAP).
• Reconcile all accounts to ensure accuracy in financial data, including bank reconciliations and other balance sheet reconciliations.
Internal Financial Controls & Compliance
• Establish, monitor, and enforce internal financial controls and procedures to mitigate risks and ensure data integrity.
• Continuously assess and improve internal controls, business processes, and accounting systems to maintain strong financial governance.
• Ensure compliance with regulatory requirements and conduct internal audits periodically to evaluate the effectiveness of internal controls.
Financial Reporting & Analysis
• Ensure the timely and accurate preparation of monthly, quarterly, and annual financial statements.
• Prepare financial analysis and reports, including variance analysis, forecasting, and budgeting to support decision-making.
• Provide actionable insights to management on cost control, profitability, and operational efficiency.
Budgeting & Forecasting
• Lead the annual budgeting process, working with department heads to set budgets and financial targets.
• Monitor budget vs. actual performance and provide monthly reporting with analysis and recommendations for improvement.
• Develop financial models for business planning, forecasting, and long-term financial strategies.
Tax Management & Compliance
• Prepare and file monthly, quarterly, and yearly tax returns, including Income Tax, VAT, and other statutory filings.
• Ensure compliance with local tax regulations and deadlines, managing all tax submissions and liaising with tax authorities for audits or queries.
• Maintain the company's tax records and database, updating them as required to ensure compliance with current regulations.
• Lead the resolution of any tax-related issues, minimizing the company’s tax liabilities while ensuring full compliance.
Cash Flow & Treasury Management
• Monitor the company’s cash flow, working capital, and liquidity to ensure financial stability.
• Manage banking relationships and optimize cash management, payment schedules, and funding requirements.
• Lead efforts to improve working capital management, including optimizing AR/AP cycles and inventory management.
• Audit & External Reporting
• Coordinate with external auditors during annual audits, ensuring all necessary documents are available and issues are resolved promptly.
• Prepare financial reports for external stakeholders, including investors and regulatory bodies, as required.
Team Leadership & Development
• Supervise and mentor accounting staff, providing guidance on financial reporting, compliance, and best practices.
• Support the development of team members by offering training opportunities and fostering a collaborative work environment.
Project Support & Additional Responsibilities
• Support the CEO and Country Director on financial strategy, business development, and special projects.
• Provide financial due diligence and analysis for new ventures, mergers, acquisitions, or partnerships.
• Perform other additional duties as assigned by the CEO and Country Director.
Compensation
● Negotiation
● Leave according to the law of the Kingdom of Cambodia
● Health and Accident insurance
● Other internal benefits base on the company policy