Finance Associate — Global Fintech, Growth & Impact

Branch International

Hinoba-an

On-site

PHP 300,000 - 600,000

Full time

3 days ago
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Benefits offered by this job

Fully-paid Group Medical Insurance
Personal Accidental Insurance
Unlimited paid time off
Fully paid parental leave
Monthly WFH stipend
Home office setup budget
Annual professional development budget
Discretionary global office visits
Team meals and social events

Job summary

Branch International is hiring an Associate who will report to the Finance Manager in India. The role covers accounts payable, daily wallet reconciliations, employee expenses, and general ledger work across balance sheet and P&L accounts in a dynamic environment.

Responsibilities include vendor invoice processing, PO/invoice matching, vendor data maintenance, journal entries for month-end close, and preparing financial reports while ensuring internal controls and compliance with workflows.

Qualifications

  • Chartered Accountant, Bachelor's/Master's in finance or CA in progress or completed.
  • 1-2 years accounting experience in a similar role.
  • Strong Excel skills with analytic capability; SQL or Python is a plus.

Responsibilities

  • Review and process vendor invoices with approvals and workflows.
  • Perform 2-way / 3-way matching of PO, invoices and receipts where applicable.
  • Support vendor onboarding, master data maintenance, and documentation validation.
  • Assist month-end close with journal entries and NetSuite ERP.
  • Prepare monthly financial and management reports; assist audits.

Skills

Excel
Analytical skills
English fluency

Education

CA-qualified or Semi-Qualified CA

Tools

SQL
Python

Job description

Branch International is hiring an Associate who will report to the Finance Manager in India. The role covers accounts payable, daily wallet reconciliations, employee expenses, and general ledger work across balance sheet and P&L accounts in a dynamic environment.

Responsibilities include vendor invoice processing, PO/invoice matching, vendor data maintenance, journal entries for month-end close, and preparing financial reports while ensuring internal controls and compliance with workflows.

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