Chief Financial Officer
On-siteSattahip, Chon Buri, Thailand
Job Summary
Develop and execute the company's financial strategy, leading the end-to-end IPO process with investment banks, legal teams, and regulators. Drive capital-raising efforts through equity, debt, and alternative financing channels while cultivating relationships with investors and financial institutions. Oversee budgeting, forecasting, and long-term financial modeling to support strategic decision-making, ensuring adherence to GAAP/IFRS standards and all regulatory obligations. Manage the full range of financial and management accounting functions, including preparing financial reports, budgets, and tax returns, while optimizing cash flow and liquidity. Build and manage a high-performing finance team, fostering accountability and excellence in internal controls and governance policies.
Required Qualifications
- Experience preparing for an IPO and subsequent public company operations
- Knowledge of SET requirements
- Experience collaborating with investment banks, legal teams, auditors, and regulators
- Experience driving capital-raising efforts through equity, debt, and alternative financing channels
- Experience cultivating relationships with investors, venture capitalists, and financial institutions
- Experience overseeing budgeting, forecasting, and long-term financial modeling
- Knowledge of GAAP/IFRS standards
- Experience ensuring adherence to financial regulations
- Experience managing internal controls and governance policies
- Experience building and managing a high-performing finance team
- Experience evaluating and executing M&A opportunities
- Experience conducting due diligence and integration planning
- Experience optimizing cash flow, liquidity, and capital allocation
- Experience preparing financial reports including income statements, balance sheets, tax returns, and reports for government regulatory agencies
- Experience ensuring group Finance and Accounting Policies are followed
- Experience liaising with auditors
- Experience managing the companys internal control environment
- Experience preparing annual financial statements
- Experience managing the companys cash flow
- Experience initiating and supporting the budgeting process
- Experience monitoring overall company performance against projections
- Experience implementing reporting and controlling tools relating to revenue, margins, and operational expense
- Experience supervising credit collection and litigation
- Experience managing finance treasury, credit lines, and relationships with bankers
- Experience working with banks and investment bankers to raise additional capital
- Experience leading methods of improving the planning process
- Experience studying long-range economic trends
- Experience projecting company prospects for future growth in overall market share
- Experience identifying opportunities for acquisitions or expansion into new product areas
Hiring someone like this?
Get your role in front of qualified candidates on Sorce.