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Financial Manager

Auromex Co., Ltd. · Samut Prakan

📅 07/08/2026
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Financial Manager Position Overview Auromex Co., Ltd. is seeking an experienced Financial Manager to lead and oversee the company's Finance & Accounting function. This role is responsible for ensuring financial integrity through accurate financial reporting, effective financial planning, treasury management, sound cash flow management, and strong financial governance while ensuring compliance with statutory and corporate requirements. The successful candidate will serve as a strategic business partner to management by providing financial insights, supporting business growth, optimizing operational performance, strengthening internal controls, and driving continuous improvement across finance processes and systems. Key Responsibilities Lead and oversee all Finance & Accounting operations, ensuring accurate, timely, and compliant financial reporting in accordance with TFRS/IFRS and statutory requirements. Prepare monthly, quarterly, and annual financial statements, management reports, and financial analysis to support executive decision-making. Lead financial planning, budgeting, forecasting, variance analysis, and business performance reviews to support strategic planning and sustainable business growth. Manage treasury operations, including banking relationships, cash flow, liquidity, working capital, payment operations, trade finance, loan facilities, and financing arrangements to ensure effective financial management. Build and maintain strong relationships with financial institutions, banks, auditors, tax consultants, and government authorities. Evaluate financing options, capital expenditure (CAPEX) proposals, investment opportunities, and financial feasibility studies to support business expansion and investment decisions. Drive cost management initiatives, including manufacturing costing, inventory valuation, profitability analysis, and operational efficiency improvements. Establish and strengthen financial governance, internal controls, risk management, and compliance frameworks to safeguard company assets and ensure regulatory compliance. Oversee corporate taxation, including Corporate Income Tax (CIT), VAT, Withholding Tax, BOI compliance, and other statutory reporting requirements. Partner closely with Sales, Supply Chain, Production, Purchasing, Warehouse, and other business functions to provide financial insights, commercial analysis, and decision support. Lead ERP and finance process improvement initiatives to enhance operational efficiency, reporting accuracy, automation, and data integrity. Develop financial dashboards, KPIs, and management reports to monitor business performance and support executive decision-making. Lead, coach, and develop the Finance & Accounting team to build a high-performing, collaborative, and customer-focused organization. Qualifications Bachelor's or Master's degree in Accounting, Finance, or a related field. CPA is an advantage. Minimum 10 years of progressive experience in Finance & Accounting, including at least 5 years in a managerial position . Experience in manufacturing, chemical, industrial, or multinational companies is highly preferred. Strong knowledge of financial reporting, budgeting, forecasting, FP&A, treasury management, taxation, internal controls, financial analysis, and business partnering. Hands-on experience in cash flow management, banking relationships, trade finance, loan facilities, payment operations, and working capital management. Experience with ERP systems (SAP, Microsoft Dynamics, Oracle, Microsoft Business Central, or equivalent) and advanced Microsoft Excel. Knowledge of BOI regulations, import-export transactions, manufacturing costing, and inventory accounting will be an advantage. Strong analytical thinking, commercial acumen, problem-solving, leadership, stakeholder management, and communication skills. Good command of spoken and written English.
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