AU Financial Accountant — Hybrid, Growth & Benefits

MicroSourcing

Manila

Hybrid

PHP 480,000 - 720,000

Full time

9 days ago
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Benefits offered by this job

Healthcare coverage
Performance bonuses
Paid time-off
Group life insurance
Team events

Job summary

MicroSourcing is hiring a Financial Accountant (AU) in Manila for a hybrid schedule. You will prepare and review monthly P&L and balance sheets for the Group, support monthly management presentations, and ensure reconciliation of balance sheet accounts for review by the Group Financial Controller.

As part of the finance team, you will handle monthly and quarterly BAS filings for Australia and New Zealand, assist with annual audit data collection, and act as the first contact for daily queries.

Responsibilities

  • Prepare and review monthly profit and loss accounts and balance sheets for the Group per the agreed month end timetable
  • Assist with preparing Financial presentations for monthly management meetings for the Director's and Leadership team
  • Reconcile and present all balance sheet accounts for review by the Group Financial Controller monthly
  • Preparation of monthly and quarterly Business Activity Statements across Australia and New Zealand for review by the Group Financial Controller
  • Assist the Group Financial Controller with Annual Audit preparation and data sample collection as required by the external auditors
  • Be the first point of contact for daily queries from the business or from within the team (when required)
  • Assist to develop and drive process improvement strategies within finance and across the business
  • Assist with detailed analysis of the business projects and business performance when required
  • Ad hoc projects as directed by the Group Financial Controller or the Senior Financial Accountant.

Job description

MicroSourcing is hiring a Financial Accountant (AU) in Manila for a hybrid schedule. You will prepare and review monthly P&L and balance sheets for the Group, support monthly management presentations, and ensure reconciliation of balance sheet accounts for review by the Group Financial Controller.

As part of the finance team, you will handle monthly and quarterly BAS filings for Australia and New Zealand, assist with annual audit data collection, and act as the first contact for daily queries.

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