A financial services company in Metro Manila is looking for a candidate to handle financial reporting, manage day-to-day accounting tasks, and ensure compliance with regulations. Ideal candidates should have a strong financial background and excellent organizational skills. Responsibilities include cash flow management and team supervision. This position offers a competitive salary and growth opportunities.
Qualifications
Experience with payroll and general accounting.
Ability to analyze financial reports and budgets.
Understanding of compliance with financial regulations.
Effective communication and interpersonal skills.
Analytical and problem-solving abilities.
Familiarity with payroll processes.
Experience in general accounting.
Knowledge of CDA.
Responsibilities
Prepare and analyze financial statements and reports.
Manage day-to-day accounting tasks and month-end closings.
Assist in developing the annual budget and forecasts.
Ensure compliance with financial regulations.
Monitor and manage the company's cash flow.
Supervise finance team and provide necessary training.
Supervise finance team members, provide training on financial processes, and collaborate with other departments.
Skills
Strong financial acumen
Attention to detail
Leadership skills
Communication skills
Analytical abilities
Problem-solving skills
General accounting
CDA
Tools
Payroll software
Job description
Qualifications
Strong financial acumen and numeracy.
Excellent attention to detail.
Leadership and organizational skills.
Effective communication and interpersonal skills.
Analytical and problem-solving abilities.
Payroll
General Accounting
CDA
Responsibilities
Financial reporting and analysis: Prepare and analyze financial statements, budgets, forecasts, and reports for senior management.
Operational oversight: Manage day-to-day accounting tasks, including accounts payable, accounts receivable, and month‑end closing routines.
Budget and forecasting: Assist in the development and maintenance of the annual budget and financial forecasts.
Compliance: Ensure the organization adheres to all relevant financial regulations and tax laws.
Financial planning: Support the development of financial strategies and evaluate investment opportunities.
Cash flow management: Monitor and manage the company's cash flow to ensure adequate liquidity.
Team support and training: Supervise finance team members, provide training on financial processes, and collaborate with other departments.