Senior Finance Officer
UOB LIVE
is Southeast Asia’s new world-class entertainment venue, situated in the new and
vibrant Em District of Bangkok, uniquely positioned in a top of the world class EMSPHERE
shopping mall, a state-of-the-art entertainment venue that anchors a world-class shopping
outlet, a diverse array of dining options, and comprehensive entertainment spaces catering to
different interests and preferences.
At the heart of this landmark alliance is the shared commitment to innovation and excellence,
uniting the expertise of two industry giants: The Mall Group, renowned for developing Thailand’s
premier retail and entertainment complexes and AEG, a global leader in sports and live
entertainment. The venue management team’s mission is to make the new world-class venue
into a premier entertainment destination, bringing the best Thai and international performances
and sporting events to the Bangkok.
POSITION OVERVIEW
You will have a shared values and people-centric mind set and genuinely want to make a
difference. That’s what makes you stand out from the crowd and why we want to meet with you.
A key member of the Finance Team who is adaptable, flexible and professional, bringing a
strong sense of confidence that supports the overall business in delivering the very best to our
guests and clients.
JOB RESPONSIBILITIES
- Prepare Cash Flow Forecast Report, Cash Positions, Cash Management
- Responsibility for the overall routine financial activities.
- Perform daily tasks relating to corporate finance.
- Prepare the yearly forecasted budget in coordination with the operations team and monitor the budget every month.
- Managing loan agreements including preparing information and supporting documents for loan disbursement and loan repayment.
- Managing financial risk i.e., foreign and interest rates.
- Participating in the preparation of the annual budget and controlling the use of the construction budget and operating budget.
- Preparing estimated monthly cash flow statements and cash investment plans while ensuring that cash flow is planned following loan agreements with sufficient liquidity and maximized returns.
- Examining invoices to be sent to the company’s customers to ensure the correctness and recording of all types of financial transactions into the ERP system.
- Managing processes for financial forecasting, budgets, and reporting to the Finance Manager and CFO.
- Work collaboratively with other teams to achieve shared goals.
- Perform other job-related functions and special projects as assigned.
QUALIFICATIONS
- Master’s or bachelor’s degree in accounting or finance
- Experience in managerial cash flow, budgeting, and treasury management is required.
- Advanced Microsoft skills, i.e. EXCEL, PowerPoints, are required.
- Experience in SAP, other ERP, or Dynamic 365 BC is a plus.
- Coordinate and schedule store audits periodically to ensure compliance with company policies and procedures.
- Good command of English both written and spoken
- Strong sense of responsibility and ability to work under pressure.
- Organized and detailed oriented
- Creativity, problem-solving skills, and systematic thinking