Accountant (Hospitality | CBD).

The GMP Group

Santo Niño 1st

On-site

PHP 420,000 - 680,000

Full time

12 days ago
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Job summary

The GMP Group in the Philippines seeks an experienced Finance Professional to lead financial operations across property management and real estate subsidiaries. You will manage month-end closes, intercompany transactions, consolidations, and reporting, while ensuring strong internal controls.

Key tasks include GST/WHT/ECI filings, treasury activities, budgeting, and compliance improvements. The role requires a degree in accounting and at least five years of relevant experience, with proficiency

Qualifications

  • Strong analytical, communication, and interpersonal skills.
  • Meticulous, detail-oriented, and able to handle confidential information with discretion.
  • Able to communicate effectively with stakeholders across all levels.

Responsibilities

  • Financial Operations: full-set accounts for property and holding entities; month-end closing and reporting.
  • Audit & Tax: GST, WHT, ECI filings; support tax computation and annual audit processes.
  • Treasury & Cash Management: monitor cash balances; manage cashflow reporting and banking documentation.
  • Budgeting & Reporting: assist annual budgeting and variance analysis; update forecasts in the system.
  • Compliance & Process Improvement: ensure internal controls, finance policies, and statutory requirements.

Skills

Analytical skills
Communication
Interpersonal skills
Attention to detail
Discretion with confidential info

Education

Degree in Accounting or equivalent

Tools

NetSuite
Cognos

Job description

Financial Operations
  • Handle full-set accounts for Singapore investment property and holding entities.
  • Perform month-end closing, including journals, reconciliations, schedules, and reporting.
  • Prepare monthly management accounts and supporting reports.
  • Manage AP/AR processes, billing, payments, collections, and intercompany transactions.
  • Support group and JV reporting, including consolidation schedules and financial analysis.
Audit & Tax
  • Prepare GST, WHT, and ECI filings with supporting schedules.
  • Support tax computation and statutory submissions.
  • Assist with annual audit processes and audit documentation.
Treasury & Cash Management
  • Monitor cash balances and support operational fund planning.
  • Handle loan drawdowns, repayments, finance cost payments, and banking documentation.
  • Support cashflow reporting and treasury administration.
Budgeting & Reporting
  • Support annual budgeting and periodic forecasting exercises.
  • Prepare variance analysis against budget and prior periods.
  • Assist with updating budget and forecast figures in the system.
Compliance & Process Improvement
  • Ensure compliance with internal controls, finance policies, and statutory requirements.
  • Maintain proper accounting records and supporting documentation.
  • Identify control gaps and support process and system improvement initiatives.
  • Assist with ad hoc finance projects and assignments.
Requirements:
  • Degree in Accounting or equivalent qualification with at least 5 years of relevant experience.
  • Experience in property management, commercial leasing, or real estate development is preferred.
  • Strong analytical, communication, and interpersonal skills.
  • Meticulous, detail-oriented, and able to handle confidential information with discretion.
  • Able to communicate effectively with stakeholders across all levels.
  • Experience with NetSuite and Cognos is an advantage.
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