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Pink Ventures Inc in the Philippines seeks a senior finance professional to lead financial reporting, budgeting, forecasting, and strategic planning. You will coordinate monthly forecasts, annual budgets, and liaise with external auditors.
The role oversees tax compliance, cash flow forecasting, policy development, and collaboration with executives to drive financial health and business performance.
Key Responsibilities:
The following include key functions of the role, but are not limited to:
Reviews/Prepares monthly financial reports and communicates significant variances on a timely basis, including coordinating adjustments when needed.
Manages credit compliance and all external reporting.
Plan and coordinate the activities related to the annual budget and monthly forecasting process.
Coordinates periodic financial reviews/audits with outside audit and tax firms as required.
Participate as a strategic business partner on cross functional teams to help drive organization efficiency, effectiveness, and continuous improvement
Perform financial management duties including generating financial data, compiling, and submitting reports, analyzing industry trends, and assessing the financial health of the company.
Oversee the operations and development of the company’s finance departments including creating and reviewing policies, budgeting, recruiting, training, and conducting regular assessments of financial procedures.
Supervise the preparation of quarterly and annual account reconciliations, monitor, and enforce compliance with tax and financial reporting standards and assist with cash flow forecasting.
Advise colleagues and executive management on decisions related to the company’s finances.
Supervise the documentation of the company’s financial status and forecasts.
Mediate between the organization, employees, stakeholders, shareholders, and investors on financial issues for amicable resolution of differences.
Create strategic business plans based on the analysis of the company’s status and financial forecasts.