David Kennedy Recruitment is working with a young financial/FX company led by a management team with over 20 years of experience. Their mission is to simplify trading complexities and deliver excellence to clients across multiple continents and countries. Currently looking to hire a Financial Analyst
Position: Financial Analyst
Location: Bangkok Thailand
Work model. Hybrid
Employment type: Service Agreement/Self-employment (no Employment contract option available)
Remuneration: Fixed monthly payment.
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.
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.
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