Finance & Accounting Manager: Strategy, Reporting & Cash Flow

Aerwall Philippines, Inc.

Davao City

On-site

PHP 558,000 - 949,000

Full time

14 days+
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Job summary

Aerwall Philippines, Inc. is seeking a seasoned finance professional in Davao City to lead financial reporting, budgeting, and cash flow management. The role requires ensuring GAAP/IFRS compliance and guiding a growing accounting team in a dynamic environment.

Based in the Philippines, the position emphasizes strong internal controls, tax compliance, and strategic financial planning to support business objectives and treasury activities within the local regulatory framework.

Responsibilities

  • Financial Reporting: Prepare accurate monthly, quarterly, and annual financial statements in line with GAAP or IFRS.
  • Budgeting and Forecasting: Build annual budgets, run financial forecasts, and perform variance analysis.
  • Cash Flow Management: Monitor cash flow, oversee accounts payable/receivable, and manage banking or treasury tasks.
  • Compliance and Tax: Ensure timely filing of local taxes and statutory reports.
  • Internal Controls: Set up safety rules to protect company assets and reduce financial risk.
  • Team Leadership: Supervise, train, and mentor the accounting and finance staff.

Skills

Financial reporting
Budgeting
Forecasting
Cash flow management
Compliance & tax
Internal controls
Team leadership

Job description

Aerwall Philippines, Inc. is seeking a seasoned finance professional in Davao City to lead financial reporting, budgeting, and cash flow management. The role requires ensuring GAAP/IFRS compliance and guiding a growing accounting team in a dynamic environment.

Based in the Philippines, the position emphasizes strong internal controls, tax compliance, and strategic financial planning to support business objectives and treasury activities within the local regulatory framework.

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