Hanoi, Hanoi, Vietnam
• Have more than 15 years of experience in corporate finance, investment, M&A and auditing. • Master technical knowledge and have deep experience about investment, finance, M&A, fund raising, auditing, VAS & IFRS, internal controls and corporate governance. • Be a CFA Charterholder.
1. Finance management Corporate planning management • Participate in building the Group’s development strategy and support initiatives to achieve the Group's objectives including the parent company and core operation activities of 03 key subsidiaries at Vinatea (No.1 in tea business in Vietnam), Moc Chau Milk (top 3 fresh milk company in Vietnam) and Vilico (Upcom: VLC) with total annual revenue ~ $150 mil. • Develop and manage Group’s financial and taxation strategies as well as capital needs (including capital mobilization) and the business plan/budgeting (both Group and subsidiaries level) • Develop implementation measures to support the Group's strategic development direction and provide analysis for owners and BOD to improve efficiency and profitability. Effective management of financial operations of the Group: • Building a intergrated financial management system from the Group to member entities level. • Participate in key decision making as a member of the executive management team. • Play a key role in professionalizing the company and the operations of its member companies. Manage capital flow and investment activities of the whole Group: • Manage the cash flow of the Group with annual cash flow ~ USD 60 million. Monitor cash balance and cash forecast to ensure the funding sources for operation and investments. • Develop financial policies related to capital investment and implement business development projects in accordance with the Group’s development strategy. 2. Investor Relations Management (IR) • Deploy and organize the process of analysis and meetings of investors and call, issue press releases and other communication/discussion with the investment and research community. • Develop annual IR strategy and maintain company’s stakeholders relationships. • Engage with shareholders in managing and representing the company when working with potential investors.
1. Corporate finance: • Monitoring and proposing appropriate financial structure for Group with total assets of approx. US 250 mil. • Participating BOM in equity raising and debt financing of US 150 mil. for capital needs and long-term strategy by leading in plan proposal, due diligence, deal structure. • Monitoring, analyzing & broadly communicating financial results versus plans and key forecasts, and preparing projects and business initiatives. • Forecasting business results of existing operations; Defining, defending and arbitrating budgets of the Group with 12 subsidiaries/affiliates (06 listed in HOSE). • Joining BOM in formulating strategic and long- term business plans 2. Business development and investment: • Performing sectorial research, carrying out due diligence as well as deal valuation, identify and assess significant risks relating to investment decisions. • Analyzing and proposing investment opportunities for the PAN Group expansion via M&A transaction and business development of US 120 mil. during 2013 – 2018. • Evaluate the opportunities and possible financing structures in line with Group’s financial plan and strategy. 3. Internal control/ Manage risk: • Improving internal control system and risk management. • Establishing financial policies and processes to comply with rules and regulations; monitoring and forecasting cash flows to ensure smooth operations of the Company. • Developing Company’s financial management framework that minimizes financial risk; evaluating factors that can negatively affect the business performance.