JSSR Group PLC
Oversee cash flow, capital allocation, and investment planning for optimal financial health. Lead the budgeting process, coordinating with departmental heads to ensure precise forecasting. Develops financial well-being of the organization by providing financial projections and accounting services, preparing growth plans, and directing staff. Monitor financial performance, analyze results, and recommend improvements for cost efficiency and profitability. Collaborate with executive leadership to develop business strategies and provide insights into financial implications. Reviewing the corporate tax calculations of the group companies in both Thailand and Japan, and liaising with the Revenue Department.