Finance Manager

SYSGEN RPO

Cebu City

On-site

PHP 1,000,000 - 2,300,000

Full time

8 days ago

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Job summary

SYSGEN RPO is seeking an experienced Finance / Treasury Manager to lead treasury operations, safeguard financial integrity, and drive strategic financial initiatives. You will oversee cash positioning, bank relationships, and liquidity management in a dynamic environment.

The role requires strong analytical skills, extensive treasury experience, and the ability to manage internal controls and regulatory compliance. Willingness to travel to Manila for meetings and hold office in Cebu City.

Qualifications

  • At least 5 years of treasury-related experience.
  • Strong analytical skills and attention to detail.
  • Knowledge of banking covenants and accounting principles.
  • Excellent communication and stakeholder management.
  • Proficiency in Excel and accounting software.
  • Willingness to travel to Manila from Cebu City.

Responsibilities

  • Treasury Operations: Manage cash positioning, bank accounts, and treasury controls.
  • Financial Integrity: Record treasury transactions, reconcile cash movements with GL, support audits.
  • Strategic Leadership: Develop financial strategies to optimize working capital and funding.
  • Compliance & Controls: Maintain internal controls, ensure regulatory compliance and bank covenants.
  • Team Leadership: Mentor treasury and accounting teams and promote cross-functional collaboration.
  • Travel to Manila for business meetings and assignements in Cebu City.

Skills

Treasury operations
Cash flow management
Financial analysis
Internal controls
Regulatory compliance
Leadership
Stakeholder management
Bank relationships
Excel
Accounting software

Tools

Excel
Accounting software

Job description

We are seeking an experienced Finance / Treasury Manager to lead our treasury operations, safeguard financial integrity, and drive strategic financial initiatives. This role is critical in ensuring liquidity, compliance, and resilience in a dynamic business environment.

Key Responsibilities
  • Treasury Operations: Manage cash positioning, bank account structures, and treasury controls in a cash-constrained environment. Oversee daily and long-term cash flow management to maintain sufficient liquidity.
  • Financial Integrity: Ensure accurate recording of treasury transactions, reconcile cash movements with the general ledger, and support audits with proper documentation.
  • Strategic Leadership: Develop and implement financial strategies that support growth, optimize working capital, and provide insights on funding requirements.
  • Compliance & Controls: Maintain strong internal controls, ensure compliance with regulatory requirements and banking covenants, and drive continuous improvement in treasury processes.
  • Team Leadership: Foster a high-performance culture, promote collaboration between treasury and accounting, and mentor team members.
  • At least 5 years of strong experience in treasury functions (treasury, accounting, liquidity management, financial analysis, budgeting, and cashflow control).
  • Excellent analytical skills, attention to detail, and awareness of financial markets and instruments.
  • Strong knowledge of banking relationships, covenants, and accounting principles.
  • Exceptional time management, organizational ability, and resilience under high-pressure situations.
  • Excellent interpersonal and communication skills to build relationships with internal and external stakeholders.
  • Proficiency in Excel and accounting software systems.
  • Willingness to be assigned in Cebu City and travel to Manila for business meetings
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