ข้อมูลส่วนตัว สำหรับสมาชิกเท่านั้น ชาย (สมรส) ไทย ไทย 26-พฤศจิกายน-2518 อายุ 47ปี 176 Cm หนัก 89 Kg ได้รับการยกเว้น ข้อมูลการติดต่อ สำหรับสมาชิกเท่านั้น นนทบุรี (ไม่ระบุ) สำหรับสมาชิกเท่านั้น สำหรับสมาชิกเท่านั้น สำหรับสมาชิกเท่านั้น โทรศัพท์ ข้อมูลทั่วไป บัญชี/การเงิน/การธนาคาร งานประจำ (Full Time) 140,000บาท ขึ้นไป 12 ก.พ. 2563 12 ก.พ. 2563 JobTH.com | ประวัติการศึกษาสูงสุด ปริญญาโท มหาวิทยาลัยเกษตรศาสตร์ ปริญาโท MBA 3.64 ปริญญาตรี สถาบันเทคโนโลยีราชมงคล วิทยาเขตพาณิชย์การพระนคร ปริญาตรี การบัญชีทั่วไป 2.75 ประวัติการทำงาน 25 ปี ไม่ได้ระบุ Financial Controlling (Director) Do Day Dream PLC. Saphansung , Thailand สำหรับสมาชิกเท่านั้น Experience and Responsibilities : Leading on Finance , Controllership function and play act with ownership. Finance & Controllership Manage the operational finance function on Local Treasury & Liquidity management of the company on Local and Oversee. Control Actual Operation expense by Department or Unit. Monitoring and tracking OPEX / Sale/Cost of goods sold /Inventory /A&P by Weekly. Approval all spending of group company, Mainly on Adverting / promotion and new activity of commercial team. Leading of perform regular performance assessment with the team to address gaps and set action plans. Evaluate and challenge the financial viability of Capital expenditures / Spending by reviewing key assumptions and analyzing factors that impact on financial performance. Summary and forecast P&L to CFO, CEO and Exclusive management by Weekly. Leading on budgeting process , in short term (LE , HY , Yearly ) , Long term (3 5 year plan) Develop and present critical & key performance indicators, dashboards, and team engagement initiatives to stakeholders on frequent basis / BU Head. Business partner Take leadership role in providing financial and technical data / accounting advice to all Department / BU / Leadership team to ensure compliance with target or direction of company requirement. Take Leadership role in controlling on financial performance all group and providing depth analytical support to improve company perforemance. Take leadership role in analytical business with peer analysis and benchmarking performance in same industry. Leading strategic finance plan and ensure business units go to same group direction and leads to change process of business. Supporting on modeling finance on new business case and new structure plan case / new price / NPD. Engagement closely with commercial team, manufactory team and other teams for resolving key process issues/bottlenecks. กรกฎาคม 2559 ถึง พฤษภาคม 2562 AVP Budgeting and Controlling Malee Group PLC. Pathumthani , Thailand สำหรับสมาชิกเท่านั้น Experience and Responsibilities : In chart in Controllership and reporting internal management Budgeting & Controllership Lead and process for annual budget year plan , Sale plan , Production Plan, OPEX and CAPEX and Cashflow Conduct Standard Cost target for production and Monitor variant and reflect to Manufactory &Management team by Monthly Set up key driver of costing on activity base / department base Conduct and improving tool of Controlling on OPEX Control Actual Operation expense by Cost Center or Unit Monitoring and tracking OPEX / Sale/Cost of goods sold /Inventory /A&P Feasibility study and advice on financial information before decision/approve investment or CAPEX Drive the post-evaluation of Commercial or other investment activities in order to capture execution impact and business learning Lead the planning, reporting and controlling of Device subsidy budget to guide the best use of fund to achieve commercial objectives Financial Analysis & Reporting Analyze monthly performance by BU by channel / customer and run rolling forecast (LE) profit and loss. Perform quantitative analysis, including integrated Revenue/Expense analysis, projections, reports, and presentations. Assist various departments with any financial modeling/forecasting or budget proposals. The periodic comparison of actual to budgeted results and the communication of variances to management, along with recommendations for improvement. Analysis and identify cost or expense base on activity for benchmarking with other party and Conduct Feasibility Study of New Product, Enhancement for Margin Improvement. Business Analysis Working closely with Commercial team , Supply chain team. To responsible to provide financial assessment of major business decisions including Sales & Marketing activities or new business model. Deep down GP margin by customer by product for leading to improve transfer pricing and competitive advantage. Develop performance measures that support the company's strategic / KPI tracking /Allocation charging fee /Advertising and promotion plan. สิงหาคม 2558 ถึง มิถุนายน 2559 Group Senior Financial Controller Master Group Corporation (Asia) Limited Bangkok , Thailand สำหรับสมาชิกเท่านั้น Experience and Responsibilities : In chart in Group finance and accounting on automotive authorized dealer , BMW , Mini , Aston Martin , Rolls-Royce , Honda and Nissan and Used car Totally 15 outlet and 7 company all in Thailand Financial information Managing the daily activities of accounting department including General Ledger, Accounts Payable, Accounts Receivable, Fixed Assets, Tax. Prepare monthly, quarterly report for group company. Provide financial analysis & management report analysis comparing with budget and KPIs , Trend analysis , Key performance to Head BU and Top management. Develop performance measures that support the company's strategic direction. Set up budget plan and provide commercial evaluation of new business /new projects. Finance & Treasury Managing the daily operation on finance at HO/Branch and control treasury function , liquidity of group company. Managing cash management , forecasting and long-range spending plans. Coordinating with Banker, financial institution on short and long term loan and set up credit line for group company. Controllership Monitor and control to give feedback to Head BU on necessary analysis as well as prepare report for routine management. Monitor the efficiency performance and work within Head BU and other functions to drive the improvement. Management in identifying areas of concern related to all activities and cost efficiencies or benefit of group company. Mar 2015 - AJE Thai Co.,Ltd (BIG Cola) July 2015 Address : Chonburi , Thailand Type of business : Beverage Manufactory & Retailer Position : Cedis Admin & Controlling Manager Experience and Responsibilities : In the Support & Control Sale activity, finance , Inventory , Logistic , Admin and HR on 20 branch all Thailand. People in control about 100 manpower. Supporting Responsible for Supporting sale on traditional market the operations in logistic , inventory , billing and collection. Supply chain inventory stock , Safety stock , stock allocation. New promotion campaign activity. Finance & Accouting , Tax Rule , HR policy , Legal policy. Controlling Tracking record on sale activity with balance inventory in system. Tracking Cash Van and Credit all branch and Audit inventory Control & reduce cost on fuel cost , rental cost , operation & admin expense. Control FTE (Manpower and Over Time) and utilize asset to full capacity. Reporting Key Performance & activity all branch. Performance & compare Profit & Loss by branch , fuel and operating Cost by branch , Break even point by branch. Mar 2014 - Central Department Store Co.,Ltd (Supply Chain) Mar 2015 Address : 919 JTC Building , Bangrak , Silom , Bangkok Type of business : Service Units Position : GM. Financial Controller Supply Chain Experience and Responsibilities : In the Support Unit and Service on Supply Chain activity in Central Group on 5 retail Business Unit Business control Responsible for ensuring the operations area of finance & Accounting in Supply Chain Division comply with overall corporate financial policies and develop measures to ensure adherence and consistent application Ensure all activity should be accurate in financial policies , account payable , account receivable , capital expenditure , cash flow and tax. Provide analytical P&L analysis in various dimensions, cost management. To build an effective internal control & Process Improvement Controlling and reporting the company performance and budget /conduct budget / forecast review.Coordinate all accounting and financial matters with other operational departments of the company. Commercial Finance Responsible for supporting commercial trend , trend analysis on external and internal customer with develop and suggestion method , model , price protocol to meet profitability and productivity. Provide Management with relevant and accurate management information in order to maximize profitabilityTo provide and develop business/profitability analysis model to management team for setting rate charge and standard cost. Review all data and recommend to management team for profitability by Activity , by Supplier , by Business units , by Cost center. Reporting on internal efficient and effective to management team and MD of Business units for improvement cost and productivity. Reporting & Budgeting & Supporting Monthly , Quarterly , Yearly financial performance and presentation to SU Head Quarterly , Yearly presentation in cost charging , productivity , and Key issue on finance charging on BU to MD of Business Unit (BUs Head) Responsibility for financial planning, budgets, forecasts, various analysis and strategic business planning as well as all activity issues to support on internal and external management team of Central Group.Conducting integrated financial analysis and supporting the management team of Central Group with financial information as required. Jun. 2002 - Harng Central Department Store Limited Feb. 2014 Address : 306 Central Silom Tower , Bangrak , Silom , Bangkok Type of business : Holding & Investment Position : DIV. Finance Manager (June 2002 - June 2010) GM. Finance & System (July 2010 - Feb. 2014) GM. Store Finance Experience and Responsibilities : In the Central Group on 5 Business Unit (Retail, Real Estate, Restaurant, InsuranceBroker, Service) and Non Core Business Finance Department Control Daily Operation Oversee the approval and process of payment to account payable Evaluate account receivable activities and credit term control collection Financial Planning and Cash Management Analyze business activities and evaluate financial results to identify trends or potential problems through routine analysis Review and analyze financial performances against budget and projection Preparation of budgeting and reviewing of future business plans to develop the budget and Cash Planning / Forecast Funding and Liquidity management of the company Management Finance Operation Department Control oversee in head office (accounts receivable, accounts payable,) On finance operation on branch (Bangkok =15 Branch, Pattaya , Chaingmai, Phuket) Management Finance Information Systems Set and improvement finance systems in the central group for uses computer-based financial systems to prepare, analyze and interpret financial results Set and implement Electronic banking / Electronic finance system between head office and branch Implementation internal control system with finance system. Evaluation and improvement of new finance systems Report to Ex. Vice President / President Monitor the monthly financial performance and coordinate in presentation financial statement analysis report including cost analysis, cash flow projection and ratio analysis to interpret company performance to support management decision Quarterly financial report for the board of Central Group (Management Report , Financial Statement analysis, Budgeting , Cash projection ) Other Responsibilities Board of Central Saving and Credit Cooperative Investment and management portfolio in short term/ long term investment (Stock , Bonds, B/E, Mutual Funds) Analyze financial report and presentation on board committee Consider new policy and adjust old policy for staff Strategic planning in short term and long term Jun 2001 King Pac Industrial Co.,Ltd May 2002 Address : Chonburi ,Thailand Type of business : Manufactory and Export & Import Position : Assistance Acc. & Fin. Manager Experience and Responsibilities : In 3 Factory base on Bangkok and Chonburi Accounting Account Receivable and Account Payable GL Account Closing Period Tax Planning Financial Statement (B/S , P/L ) Finance Control Cash Management Management cash on hand, forecast revenue and payment Funding Management for Project / Long Term loan / Short Term loan Prepare cash flow and budgeting in quarterly Control Trade finance L/C Export (Collection and inspect doc.) L/C Import (Purchase manchinery) Foreign currency exchange rates (Negotiable F/X rate) Derivatives Forward Contact Report to Finance Controller and Managing Director Apr.1996 - Cementhai Chemical Co.Ltd May 2001 Address : 1 Siam Cement Road , Bangsue , Thailand Type of business : Manufactory and Export & Import Position : Finance officer Experience and Responsibilities : Cash Management Dept : Payment for domestic vendor by cheque, petty cash and transfer; receiving the cheque, transfer, Processing A/R accounting in SAP, Cash Management Trade finance Dept : Import : Payment for foreign vendor by Draft and T/T & L/C transfer, Open and Processing L/C Import(TR,SG), purchasing foreign currency (FX rate) Export : Receiving from foreign A/R by Draft and T/T & L/C transfer, Inspect Document and Condition of L/C Export, Negotiation/Discount of Export bills (L/C, D/A ,D/P) Foreign Currency Management : Management A/C Foreign Currency Deposit (FCD) Inflow and Outflow, F/X rate ประวัติการฝึกอบรม ความสามารถ ความสามารถทางภาษา พูด (ดี) อ่าน (ดี) เขียน (ดี) พูด (ดี) อ่าน (ดี) เขียน (ดี) ไทย 35 คำ/นาที อังกฤษ 35 คำ/นาที รถยนต์ ,รถจักรยานยนต์ , โครงการ / ผลงาน / เกียรติประวัติ / บุคคลอ้างอิง สำหรับสมาชิกเท่านั้น |