961 Corporate Finance jobs in Vietnam
Corporate Finance Analyst
Posted today
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About the company:
Adecco's Client - An international consumer goods company has been operating in Vietnam since October 1994, establishing a strong presence in the fast-moving consumer goods (FMCG) sector. With a portfolio of eight brands tailored to Vietnamese consumers, the company has become a key player in the local market. Over the past 23 years, it has been recognized for its contributions to Vietnam's socio-economic development, particularly within the tobacco industry. It's also deeply committed to sustainability and creating long-term value for people, communities, and partners.
Workplace:
The Hallmark Building, An Khanh Ward, Ho Chi Minh City
Contract:
9 months with third-party provider
Salary Range:
15-20M Gross VND/month
Key responsibilities
Financial Accounting & Reporting:
- Ensure accurate and timely financial accounting in compliance with IFRS and internal reporting standards.
- Prepare and analyze monthly financial statements, including P&L and balance sheet, to support business performance reviews.
- Lead month-end closing activities in collaboration with cross-functional teams to ensure completeness and accuracy.
Overhead (OVH) Management
- Support to work with budget holders to develop, review, and challenge zero-based budgets.
- Monitor and manage actual overhead costs to meet financial targets and support cost-efficiency initiatives.
- Provide detailed variance analysis and recommendations to improve overhead spending.
System Effectiveness & Process Optimization
:
- Oversee the effectiveness of financial systems related to Accounts Receivable (AR), Accounts Payable (AP), and cash clearance.
- Collaborate with Global Business Services (GBS) to ensure accurate and timely product costing and financial data processing.
- Identify and implement process improvements to enhance system reliability and data integrity.
Planning & Forecasting
:
- Support financial planning and forecasting processes, including Group Business Planning Consolidation (BPC).
- Deliver high-quality financial insights and scenario analysis to support strategic decision-making.
Stakeholder Support:
- Provide financial analysis and reporting to managers and senior stakeholders to support operational and strategic decisions.
- Communicate financial insights clearly and effectively across departments.
Requirements:
- Minimum 2 years of experience in financial accounting or corporate finance.
- Fluent in English and Vietnamese.
- Bachelor's degree in accounting, Finance, or a related field.
- Professional qualifications (e.g., ACCA, CPA) and experience in Big 4 firms are advantageous.
- Strong understanding of IFRS and group reporting guidelines.
- Proficiency in financial systems and tools; SAP experience is a plus.
- Solid knowledge of budgeting and management accounting techniques, especially related to overhead cost control.
- Excellent analytical, organizational, and communication skills.
Head of Corporate Finance
Posted today
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Founded in 2009 in Orange County, California, Yes4All has grown to become one of the leading names in the fitness, furniture and lifestyle market. A significant player in e-commerce since 2016, we were among the first invited to Amazon's Vendor Central (AVC) program and have been a top-12 Sports & Outdoors brand on Amazon since 2021.
We expanded our presence across the USA and 17 international markets, reaching $132M GMV with 74% YoY growth in 2023, achieving 26% YoY GMV growth in 2024 and a 3.5X increase in EBITDA. With 2,000+ SKUs on platforms like Amazon, Wayfair, and Walmart, we continue to scale.
Guided by Mr. Nguyen Chi My, we leverage Vietnam's competitive strengths and strategic manufacturing partnerships to drive innovation. Beyond our own success, we empower Vietnamese SMEs, providing expertise to scale internationally.
Job Purpose
The Head of Corporate Finance will lead, plan, and oversee all
Corporate Finance activities
, including
FP&A, Finance Business Partnering, cash flow management, bank & investor relations
, while building and developing the finance team to optimize performance, support sustainable growth, and prepare for
Series B fundraising / IPO
.
Key Responsibilities
- Cashflow & Liquidity Management:
Ensure survival and growth by balancing platform receivables (Amazon, etc.) and supplier/operational payables, manage working capital, and reduce financing costs. - Strategic Financial Leadership:
Develop budgets, forecasts, long-term financial models to support >50% CAGR and multi-channel business growth. - Incentive System Design:
Build and manage compensation structures that align growth, profitability, and cashflow with employee motivation. - Technology & Automation:
Drive ERP (preferably NetSuite), BI (PowerBI), and AI adoption to scale financial reporting, forecasting, and analysis. - Investor & Bank Relations:
Manage loan facilities, covenants, and provide transparent reporting for lenders, investors, and IPO readiness. - Finance Business Partnering:
Collaborate with Sales, Marketing, Supply Chain, and Logistics to balance growth ambition with financial discipline. - Team Building & Development:
Rebuild, lead, and scale a high-performing finance team with strong financial literacy across functions. - Global Finance & Compliance:
Manage multi-entity consolidation, FX risk, tax, and international accounting standards.
Requirements
- Bachelor's degree or above in
Finance, Accounting, Business Administration, or Economics
. - 10+ years of experience
in FP&A, Treasury, Risk Management, Tax, Operations Finance. - 5+ years of leadership experience
managing teams of 10+ members. - Proven expertise in
cashflow management, forecasting, cost control, and strategic planning
. - Experience with
ERP/BI/AI tools
; NetSuite preferred (SAP, Oracle acceptable). - Strong track record in
high-growth, multi-market e-commerce or consumer companies
. - Excellent communication, influencing, and strategic thinking skills.
Why Join Us?
- Take a leading role in Finance at a
fast-growing, global e-commerce company
. - Build and scale a finance team to support billion-dollar ambitions.
- Be part of a strategic journey toward
Series B fundraising and IPO expansion
.
Treasury/Corporate Finance Specialist
Posted today
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Job Description
Cash Flow & Loan Management
- Develop and manage daily/weekly/monthly cash flow plans.
- Monitor inflows and outflows, reconcile bank balances, and prepare cash reports.
- Forecast short-term funding needs and ensure liquidity.
Banking & Credit Institution Relations
- Work with banks on credit limits, interest rates, and service fees.
- Manage loan contracts, repayment schedules, and guarantees.
- Propose optimal funding solutions to reduce financial costs.
Basic Corporate Finance
- Analyze capital structure and support capital raising plans.
- Participate in evaluating investment projects (vehicles, warehouses, new routes, etc.).
- Prepare periodic financial management reports for the Board of Directors.
Investor Relations (Training & Development)
- Learn and assist in preparing materials for investors (reports, decks).
- Get familiar with disclosure standards and securities regulations.
- Support consultants during IPO or capital raising activities.
Job Requirements
- Bachelor's degree in Finance, Banking, Accounting, Economics, or equivalent.
- 3–5 years of experience in Treasury/Corporate Finance (preferably in Logistics, FMCG, Manufacturing, or Banking).
- Proficient in advanced Excel (Pivot, Lookup, Power Query) and PowerPoint.
- Strong skills in financial analysis and management reporting.
- Good communication and negotiation skills with banks/credit institutions.
- Good English skills; IELTS 6.0–6.5 or equivalent is a plus.
- Professional certifications such as CPA, ACCA, CMA are preferred.
Benefits
- Competitive salary package based on experience and qualifications.
- Annual performance bonus and project-based incentives.
- Full social, health, and unemployment insurance according to labor law.
- Training and career development opportunities (CPA/ACCA support).
- Professional and dynamic working environment with opportunities for career growth.
Senior Accountant - Corporate Finance
Posted 8 days ago
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Key Responsibilities:
- Manage the full accounting cycle, including accounts payable, accounts receivable, payroll, and general ledger maintenance.
- Prepare accurate and timely monthly, quarterly, and annual financial statements in accordance with IFRS or relevant accounting standards.
- Perform account reconciliations and analyses to ensure the accuracy of financial data.
- Assist in the preparation of budgets and forecasts, and monitor financial performance against budget.
- Ensure compliance with all applicable tax regulations and reporting requirements.
- Support internal and external audits by providing necessary documentation and explanations.
- Develop and implement accounting policies and procedures to improve efficiency and internal controls.
- Process journal entries, accruals, and adjustments as needed.
- Reconcile bank statements and other financial accounts.
- Assist in the preparation of management reports and financial analysis.
- Maintain fixed asset records and perform related depreciation calculations.
- Collaborate with other departments to ensure smooth financial operations.
- Stay updated on changes in accounting standards and regulations.
Required Qualifications:
- Bachelor's degree in Accounting, Finance, or a related field. Professional certification (e.g., CPA, ACCA) is highly preferred.
- Minimum of 5 years of progressive experience in accounting roles, preferably within a corporate finance setting or public accounting firm.
- Strong knowledge of accounting principles (IFRS/VAS) and financial reporting standards.
- Proficiency in accounting software (e.g., SAP, Oracle, QuickBooks) and advanced Excel skills.
- Excellent analytical, problem-solving, and organizational skills.
- High level of accuracy and attention to detail.
- Strong written and verbal communication skills.
- Ability to work independently and as part of a team, meeting deadlines under pressure.
- Experience with financial audits and internal controls is a plus.
- Knowledge of Vietnamese tax laws and regulations is beneficial.
Financial Analyst - Corporate Finance
Posted 9 days ago
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Key Responsibilities:
- Assist in the development and management of annual budgets and periodic forecasts.
- Conduct variance analysis, identifying key drivers and providing explanations for deviations from budget and forecast.
- Prepare monthly, quarterly, and annual financial reports for management, highlighting key performance indicators (KPIs) and trends.
- Support the accounting team in month-end and year-end closing processes.
- Develop and maintain financial models to support business initiatives and strategic planning.
- Analyze financial data to identify areas for cost savings and revenue enhancement opportunities.
- Perform ad-hoc financial analysis and reporting as required by senior management.
- Ensure compliance with accounting standards and company policies.
- Collaborate with other departments to gather financial information and provide support for their budgeting and forecasting needs.
- Bachelor's degree in Accounting, Finance, Economics, or a related field.
- Minimum of 3 years of experience in financial analysis, accounting, or a similar role.
- Strong knowledge of accounting principles (GAAP/IFRS).
- Proficiency in Microsoft Excel, including advanced functions (pivot tables, VLOOKUP, financial modeling).
- Experience with accounting software (e.g., SAP, Oracle, QuickBooks) is a plus.
- Excellent analytical, problem-solving, and critical thinking skills.
- Strong communication and interpersonal skills, with the ability to present financial information clearly and concisely.
- Detail-oriented with a high degree of accuracy.
- Ability to work independently and manage multiple priorities in a fast-paced environment.
Financial Analyst - Corporate Finance
Posted 10 days ago
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Job Description
Responsibilities:
- Assist in the preparation of financial statements, budgets, and forecasts.
- Develop and maintain financial models to support business analysis and strategic planning.
- Analyze financial performance against budget and prior periods, identifying variances and providing explanations.
- Conduct research on market trends, competitor performance, and economic conditions to inform financial insights.
- Evaluate the financial feasibility of new projects and investment proposals.
- Prepare management reports and presentations summarizing financial results and key performance indicators.
- Support the finance team in ad-hoc financial analysis and projects.
- Ensure data integrity and accuracy in all financial reporting.
- Collaborate with various departments to gather financial information and understand business drivers.
- Assist in the implementation and improvement of financial systems and processes.
Qualifications:
- Bachelor's degree in Finance, Accounting, Economics, or a related quantitative field.
- Minimum of 3 years of experience in financial analysis, corporate finance, or a related role.
- Strong understanding of financial principles, accounting standards, and financial modeling techniques.
- Proficiency in Microsoft Excel (advanced functions, pivot tables, macros) and other financial software.
- Excellent analytical, quantitative, and problem-solving skills.
- Strong attention to detail and accuracy.
- Good written and verbal communication skills in Vietnamese; English proficiency is a plus.
- Ability to manage multiple tasks and meet deadlines in a dynamic environment.
- Eagerness to learn and contribute to a collaborative team.
This hybrid role offers a fantastic opportunity to develop your career in finance within a supportive and growing organization in **Buon Ma Thuot, Dak Lak, VN**.
Financial Analyst - Corporate Finance
Posted 14 days ago
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Senior Investment Banking Analyst - Corporate Finance
Posted 14 days ago
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Responsibilities:
- Develop complex financial models for valuation, M&A, LBOs, and capital raising.
- Prepare client presentations, pitch books, and marketing materials.
- Conduct in-depth industry and company-specific research and analysis.
- Assist in the execution of M&A transactions, debt financings, and equity offerings.
- Perform financial due diligence and data analysis.
- Support senior bankers in client meetings and negotiations.
- Monitor market trends and identify potential transaction opportunities.
- Manage multiple projects and deliver high-quality work under tight deadlines.
- Contribute to client relationship management and business development efforts.
- Bachelor's degree in Finance, Economics, or a related quantitative field.
- 2-4 years of relevant experience in investment banking, corporate development, or a similar finance role.
- Exceptional financial modeling and valuation skills.
- Proficiency in Microsoft Excel, PowerPoint, and Word.
- Familiarity with financial databases (e.g., Bloomberg, CapIQ, Refinitiv).
- Strong analytical, quantitative, and problem-solving abilities.
- Excellent written and verbal communication skills.
- High attention to detail and strong work ethic.
- Ability to work independently and collaboratively in a remote team environment.
- Prior investment banking experience is highly preferred.
Head of Investment Banking - Corporate Finance Advisory
Posted 3 days ago
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Remote Investment Banking Analyst - Corporate Finance Advisory
Posted 14 days ago
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Job Description
Key Responsibilities:
- Develop complex financial models for valuation, M&A, and capital raising transactions.
- Conduct thorough financial analysis, market research, and industry benchmarking.
- Prepare high-quality presentation materials, pitch books, and client reports.
- Assist in the due diligence process for transactions.
- Support senior bankers in deal execution and client relationship management.
- Analyze financial statements and key performance indicators of target companies.
- Monitor market trends and provide insights relevant to client needs.
- Collaborate effectively with internal teams and external advisors.
- Ensure accuracy and integrity of all financial data and analyses.
- Contribute to the generation of new business opportunities.
- Bachelor's degree in Finance, Economics, Accounting, or a related quantitative field.
- 1-3 years of relevant experience in investment banking, corporate finance, or a related analytical role.
- Exceptional financial modeling and valuation skills.
- Strong understanding of accounting principles and financial statement analysis.
- Proficiency in Microsoft Excel, PowerPoint, and financial databases (e.g., Bloomberg, Refinitiv).
- Excellent analytical, problem-solving, and quantitative abilities.
- Superior written and verbal communication skills.
- Ability to manage multiple tasks, prioritize effectively, and meet tight deadlines in a remote setting.
- High level of integrity and a strong work ethic.