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Chief Financial Officer (Financial Investment)

ELEMENT GROUP HOLDINGS CO., LTD. · Suan Luang, Bangkok

📅 11/08/2026
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Strategic Finance & Investment Develop and execute the Group's financial strategy to support long-term business growth and profitability. Lead investment analysis, financial feasibility studies, and ROI assessments for new business initiatives, acquisitions, and expansion projects. Evaluate investment opportunities and provide strategic recommendations to the CEO and shareholders. Develop financial models and scenario analyses to support investment decisions and capital allocation. Financial Planning & Cash Flow Lead the Group's financial planning, budgeting, forecasting, and long-term business planning. Develop and maintain rolling cash flow forecasts to ensure sufficient liquidity across the Group. Optimize working capital and cash flow management to support operational efficiency and future investments. Monitor capital expenditures (CAPEX) and ensure effective capital utilization. Treasury & Funding Develop financing strategies and manage relationships with banks, investors, and financial institutions. Lead fundraising activities, debt structuring, and bank negotiations. Evaluate financing options to support business expansion and investment opportunities. Business Performance Analyze business performance, profitability, margins, and operational KPIs to support management decisions. Review P&L, Balance Sheet, Cash Flow Statement, ROI, IRR, NPV, and other financial indicators. Identify financial risks, business opportunities, and cost optimization initiatives. Leadership Partner closely with the CEO and business leaders on strategic initiatives. Lead and develop the finance team while strengthening financial governance and internal controls. Ensure compliance with financial policies, taxation, and regulatory requirements. Qualifications: Bachelor's or Master's degree in Finance, Economics, Accounting, Business Administration, or related fields. At least 10+ years of experience in Corporate Finance, Financial Planning & Analysis (FP&A), Treasury, Investment, Corporate Strategy, or Finance Leadership. Strong experience in cash flow management , treasury, financial planning, and investment analysis. Proven experience in financial modeling, business valuation, feasibility studies, and investment decision-making. Strong understanding of capital allocation, funding strategies, and working capital management. Experience negotiating with banks, investors, and financial institutions. Commercially minded with the ability to support business growth through financial insights. Strong analytical, strategic thinking, and business partnering skills. Experience in holding companies, diversified businesses, or fast-growing organizations is highly preferred. CPA, CFA, CISA, or MBA would be an advantage.
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