Hoang   Pham

Hoang Pham Email and Phone Number

Chief Financial Officer | CMA issued by IMA @ ROYAL GROUP
Hoang Pham's Location
Ho Chi Minh City, Vietnam, United States
About Hoang Pham

At ROYAL GROUP, the team and I thrive on crafting financial strategies that fuel sustainable growth and operational liquidity. Our achievements include orchestrating capital raises through diversified channels and steering investment projects that solidify the company's market standing. With a CMA certification and a pivotal role in the company's strategic planning, my focus remains on optimizing business efficiency and enhancing enterprise value.Leading a finance division of 60 professionals, our collective effort ensures robust financial health and strategic goal attainment. Skills honed in communication and C-level management empower me to align financial goals with the organization's vision. My commitment is to a dynamic, creative business environment where strategic financial leadership is the cornerstone of success.

Hoang Pham's Current Company Details
ROYAL GROUP

Royal Group

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Chief Financial Officer | CMA issued by IMA
Hoang Pham Work Experience Details
  • Royal Group
    Chief Financial Officer
    Royal Group Jan 2018 - Present
    Dong Nai, Vn
    Responsible for:- Managing the accounting and finance Division of the Group with about 60 employees.- Participating in building the company strategy and financial strategy, setting financial goals, coordinating to implement solutions to achieve goals.- Building annual capital needs and total annual credit limit.- Raising capital through channels such as bank loans, bond issuance, stock issuance, investment cooperation, investment funds, etc,.- Managing and regulating cash flow for the entire group and member companies, ensuring liquidity for business operations and investment.- Participating in implementing new investment projects, managing investment items, raising capital for projects, and participating in building company management systems.- Participating in IPO/listing on HoSE, calling for strategic shareholders to join the company's equity, participating in M&A activities.- Planning annual/monthly budgets, controlling expenditures according to approved budgets.- Measuring and evaluating monthly/quarterly KPIs of Divisions.- Coordinating with Divisions to set cost standards, internal expenditure standards.- Organizing financial reporting, complying with accounting standards and public company disclosure regulations.- Preparing periodic monthly/quarterly management reports, analyzing and proposing solutions to achieve plan goals.- Preparing tax reports as required. Working with provincial tax departments, Customs to resolve tax issues, annual tax finalization, tax refunds.- Organizing annual financial statement audits.- Organizing public disclosure activities according to public company regulations.- Preparing materials and organizing annual shareholders' meetings.- Establishing financial accounting regulations and procedures. Coordinating with the internal control department to control assets.- Closely coordinating with Divisions to handle daily tasks to ensure efficient business operations.- Managing external investments.
  • Foreign Trade And Investment Development Join Stock Company (Fideco)
    Chief Financial Officer
    Foreign Trade And Investment Development Join Stock Company (Fideco) Jul 2012 - Jul 2017
    - Head Office: 28 Phung Khac Khoan Street, Da Kao Ward, District 1, Ho Chi Minh City- Established in 1989, has over 8 subsidiaries- Listed on HCMC Stock Exchange in 2007- Fideco has over 100 employees and total asset over 1.000 bill vnd.- Report to: CEO and Boad of Directors- Responsible for:+ Manage the operation and staff of financial division.+ Set up and evaluate the effectiveness of annual budget plan.+ Provide short term and long term financial strategies, dividend policies.+ Prepare the management accounting reports and monthly management letter for CEO.+ Set up and analyze quaterly and annually financial statements to identify the strengths and weaknesses, the threats and opportunities for the managements.+ Estimate and control finance needs for projects and daily operation. Control cash flows, treasury at subsidiaries and headquarter.+ Control production costs, operation expenses, taxes, inventory, account receivables, assets at all subsidiaries by building budget plans and analysing actual performances.+ Joint to improve the supply chain system, set up internal transferred prices to minimize income tax, eliminate non-value expenses.+ Joint to establish the Balanced Score Card and KPIs for Group and deploy the Best In Class Project to support evaluation and improve the processes.+ Analyze profit and loss for every industries, divisions and projects to provide proper information for making decision.+ Find the best financial entities to borrow money for projects and operation with lowest interest rate.+ Work with tax officers, state auditors when being investigated to minimize tax payment.+ Work with independent auditors to ensure the financial statements are conformanced with the accounting standards, regulations and laws. + Manage the accouting team over 20 members.+ Recruit and train accounting staff about tax laws, accounting standards…+ Evaluate staff permances and propose salary, bonus, promotion policies.
  • Sai Gon Thuong Tin Investment Joint Stock Company
    Chief Accountant
    Sai Gon Thuong Tin Investment Joint Stock Company Jan 2010 - Jun 2012
    - Head Office: 201A Nam Ky Khoi Nghia Street, Ward 7, District 3, HCM City- STI was established in 2007 and merged in 2012, and has over 10 subsidiaries- STI has over 150 employees and total asset over 2.000 bill vnd.- STI was operating in the fields of: + Investment in real estate projects, + Investment in finance, stock trading, and M&A,+ Investment in electricity energy,+ Development in sugar industry,+ Investment in tourism, hotel, resort, and restaurant,- Job title: Management Accounting Manager for STI, cum Chief Accountant for two subsidiaries of STI- Report to: CFO, CEO and Boad of Directors- Responsible for:+ Prepare the Management Accounting Reports for the Parent company and Financial statements for a subsidiary.+ Set up the banking documents to borrow money for the projects.+ Set up and analyze quaterly and annually Consolidated Financial Statements.+ Analyze profit and loss for every industries: Security investment, project investment.+ Control expenses, tax.+ Control the cash flows every month at subsidiaries and Group.+ Trainning accounting staffs about Tax Law, Accounting Standards.+ Inspect the financial statements of all subsidiaries.+ Being a member of Controlling Board for Gia Lai Electricity Joint Stock Company.+ Being a Chief Accountant for Hana Beach Resort and Thanh Binh Tourist Joint Stock Company.+ Undertake the ad hoc tasks from Executive Committee.
  • Dong Tam Group
    Deputy Chief Financial Officer
    Dong Tam Group Jan 2007 - Dec 2009
    Ho Chi Minh, Vn
    - Head Office: 7, Quarter 6, Ben Luc Ward, Long An Province- Founded in 1969, has over 10 subsidiaries and 4 operation partners- Has over 3.000 employees, total asset over 4.000 bill vnd and annual revenue 2.000 bill vnd.- Dong Tam Group is operating in the fields of: + Production and trading of building materials and interior decoration (textiles, sanitaryware, paint, euro window, etc.). + Real estate business: Building and leasing industrial zone land and factories for rent; building residental and international port. + Investment in joint ventures.- Job title: Deputy of Management Accounting Manager and Deputy of CFO. - Report to: CFO, CEO- Responsible for:+ Prepare the Management Accounting Reports and Monthly Management Letter for a foreign CEO.+ Estimate and control finance needs for projects and daily operation.+ Set up and evaluate the effectiveness of annual budget plan.+ Set up and analyze quaterly and annually Consolidated Financial Statements.+ Analyze profit and loss for every industries: Tiles, Window, Ceramic, Granite, Real state, investment projects…+ Control production costs, operation expenses, tax at all Subsidiaries by building budget plans.+ Deploy the efficient production cost models for all Subsidiaries.+ Control the cash flows every month at subsidiaries and Group.+ Joint to establish the Balanced Score Card and KPIs for Group.+ Set up the efficient inventory levels for every stock+ Joint to deploy the Best In Class Project.+ Joint to organize the Management Accounting Department and reconstruct Dongtam group.+ Joint to qualify the supply chain system, set up internal transferred prices.+ Being a member of Board of Merges and acquisitions activities.+ Recruit and train accounting staffs about Tax Law, Accounting Standards…+ Control taxation expenses.+ Undertake the ad hoc tasks from Executive Committee.
  • Sai Gon Kymdan Rubber Joint Stock Company
    Financial Controller
    Sai Gon Kymdan Rubber Joint Stock Company Jan 2004 - Dec 2006
    - Head Office: 28 Binh Thoi Street, Ward 14, District 11, Ho Chi Minh City- Founded in 1954 and been privatized in the form of a family business since 1999- Has over 1.000 employees, annual revenue over 2.000 bill vnd.- Kymdan is a manufacturer of interior products: foam rubber mattresses, beds, Lounge Suite and sofas.- Kymdan has 2 overseas subsidiaries, 4 domestic branches, and more than 500 stores and agents worldwide.- Job title: Management Accounting and Financial Controller - Report to: Finance Manager and CEO- Responsible for:+ Prepare Management Accounting Reports.+ Analyse profit and loss for every industries.+ Control production costs.+ Set up annual budget plan.+ Audit the Financial Statements at all Branches in Vietnam and Overseas.+ Control the cash flows every day at Branches and Parent Company.+ Suggest about financial, taxation solutions for Directors.

Hoang Pham Skills

Negotiation Project Planning Business Strategy Teamwork Team Leadership Finance Management Ability To Work Under Pressure Good Economic And Financial Knowledge Excellent Communication Skills Strategic Mindset And Dynamic

Hoang Pham Education Details

  • Economics University Of Ho Chi Minh City
    Economics University Of Ho Chi Minh City
    Auditing
  • Institute Of Management Accountants
    Institute Of Management Accountants
    Accounting And Business/Management
  • Social Sciences And Humanities College Of Hcm City
    Social Sciences And Humanities College Of Hcm City
    General

Frequently Asked Questions about Hoang Pham

What company does Hoang Pham work for?

Hoang Pham works for Royal Group

What is Hoang Pham's role at the current company?

Hoang Pham's current role is Chief Financial Officer | CMA issued by IMA.

What schools did Hoang Pham attend?

Hoang Pham attended Economics University Of Ho Chi Minh City, Institute Of Management Accountants, Social Sciences And Humanities College Of Hcm City.

What skills is Hoang Pham known for?

Hoang Pham has skills like Negotiation, Project Planning, Business Strategy, Teamwork, Team Leadership, Finance, Management, Ability To Work Under Pressure, Good Economic And Financial Knowledge, Excellent Communication Skills, Strategic Mindset And Dynamic.

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