Financial Analyst - Thai & English - Bangkok at JUJUR
Bangkok, , Thailand -
Full Time


Start Date

Immediate

Expiry Date

06 Jun, 26

Salary

0.0

Posted On

08 Mar, 26

Experience

5 year(s) or above

Remote Job

Yes

Telecommute

Yes

Sponsor Visa

No

Skills

Financial Statement Analysis, Performance Evaluation, Trend Identification, Financial Modeling, Excel, Google Sheets, Financial Systems, BI Tools, Analytical Mindset, Cost Efficiency, Forecasting, Cash Management, Budgeting, P&L Review, Balance Sheet Review, Cash Flow Review

Industry

Business Consulting and Services

Description
Role Overview: We are looking for a Financial Analyst to monitor financial health, analyze performance, and support strategic decision-making while reviewing P&L, balance sheets, and cash flows, building key financial ratios, and driving cost efficiency across departments with clear, actionable insights. Position: Financial Analyst Location: Bangkok, Thailand Work model. Hybrid Employment type: Service Agreement/Self-employment (no Employment contract option available) Remuneration: Fixed monthly payment. RESPONSIBILITIES: • Review and analyze monthly P&L, balance sheet, and cash flow statements to assess financial performance and stability • Identify trends, variances, and risks that may impact profitability and financial health • Develop, monitor, and interpret key financial ratios including COGS, OPEX, margins, and liquidity • Build dashboards and management reports to improve financial visibility and decision-making • Collaborate with departments to set annual budgets and spending limits • Track budget versus actuals and recommend corrective actions to control costs • Implement cost allocation models to strengthen accountability across departments • Analyze COGS and OPEX components to optimize margins, spreads, and overall efficiency • Maintain optimal cash reserves to support operations, growth, and risk coverage • Propose low-risk investment options for surplus cash such as MMFs or fixed deposits • Manage and track internal investment portfolios when applicable • Build monthly and quarterly forecasts for revenue, expenses, and profitability • Develop scenario models to support strategic planning and business decisions • Establish internal financial policies covering spending approvals, reimbursements, and vendor payments • Coordinate with external accountants, auditors, and banking partners when required. REQUIREMENTS: • Professional working proficiency in English • Degree in Accounting Finance Economics or a related field • Minimum 5 years of experience in FP&A accounting treasury or financial analysis • Strong expertise in financial statement analysis performance evaluation and trend identification • Advanced skills in Excel or Google Sheets including financial modeling • Experience using financial systems and BI tools • Strong analytical mindset with high attention to detail • Ability to translate complex financial data into actionable insights • Experience in brokerage fintech or trading environments is a strong advantage • Driven results oriented and highly organized • Proactive self motivated and comfortable working independently • Growth mindset with a continuous improvement approach. OFFER: • Direct impact on financial performance and cost efficiency • High visibility role supporting strategic decision making • Exposure to forecasting cash management and scalable finance structures • Professional environment focused on ownership growth and analytical excellence.
Responsibilities
The role involves monitoring financial health by reviewing P&L, balance sheets, and cash flows, identifying trends, and developing key financial ratios. Responsibilities also include building management reports, collaborating on budgets, tracking costs, and proposing investment options for surplus cash.
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