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Sanet Manpower Co., Ltd.

Assistant Finance Manager – Treasury, Tax, L/C & SAP | German Company

Pluak Daeng, THفي الموقعدائمدوام كامل

تم النشر في 5 أكتوبر 2026

تم نشر هذه الوظيفة باللغة EN

Grow Your Finance Career in Treasury, L/C and Cash Flow Management

Exciting opportunity for finance talents in Thailand with L/C and SAP experience. Take ownership of treasury operations, cash flow, tax filings, bank coordination, and HQ reporting in an international environment with real responsibility and growth potential.

Main Duties
  • Manage daily liquidity and urgent payments to ensure smooth operations to prevent cash shortfalls.
  • Handle Letters of Credit (L/C), Bank Guarantees, and corporate loans in line with bank covenants.
  • Maintain 12-month rolling cash flow forecasts to support annual budgeting and liquidity planning.
  • Perform monthly bank reconciliations in SAP and audit treasury transactions for compliance and security.
  • Prepare monthly treasury packages, cash flow reports, and intercompany data for European HQ consolidation.

Other Duties
  • Issue customer invoices in compliance with VAT and tax regulations
  • Support the optimization of treasury and tax workflows in SAP, adopting digital tools or Group treasury initiatives to improve efficiency.
  • Participate in special finance projects, banking setup changes, or ad-hoc financial analyses as assigned by the Finance Manager or Regional Head of Finance.



Requirements

Key Skills Required

  • Bachelor Degree in Accounting, Finance or related fields

  • Minimum 4 years of experience directly related to the specified duties and responsibilities, especially in handling letters of credit

  • Excellent command of English language is mandatory

  • 2–3 years of experience using SAP, with a working knowledge of MS Office and financial management software.

  • Thorough understanding of financial application security ensuring that all financial data is secure and complies with confidentiality policies

Other Skills Required

  • Ability to apply finance and treasury principles

  • Thorough knowledge of financial legislation, regulation and practices

  • Develops strong working relationships and closely collaborates with the business as well as with the global Finance community

  • Good communicator and comfortable to liaise and coordinate with internal and external stakeholders, e.g. Headquarter

  • Delivers results and keeps commitments in an accurate and timely manner

  • Analytical and conceptual skills and process orientation, good with numbers and figures



ملخص الدور

نوع الوظيفة

دوام كامل

المهارات المطلوبة

Treasury Operations and Payment ProcessingLetter of Credit (L/C) ManagementCash Flow Forecasting (12-month rolling)Bank Reconciliations in SAPSAP Financial Modules (FI/CO/Treasury) ProficiencyVAT and Tax Compliance (Invoicing and Filings)Bank Guarantees, Corporate Loans & Covenant ManagementFinancial Application Security and Data ConfidentialityIntercompany Accounting and HQ Consolidation ReportingFinancial Legislation and Regulatory ComplianceStakeholder Management and Internal/External CoordinationAnalytical and Financial Analysis SkillsProcess Optimization and Treasury Workflow DigitalizationMS Office and Financial Management Software ProficiencyBank Relationship and Banking Setup Coordination

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