Head of Finance

VinEnergo Energy JSC

Pasay

On-site

PHP 892,800 - 1,339,200

Full time

14 days+

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Job summary

A leading energy company based in Metro Manila is looking for an experienced financial leader to develop and execute financial strategies aligned with business goals. This role involves overseeing budgeting, financial reporting, tax compliance, and managing cash flow. The ideal candidate should have over 10 years of experience in financial leadership, strong knowledge of regulatory requirements, and exemplary team-building skills. This is a full-time on-site position in Pasay.

Qualifications

  • 10+ years of experience in financial strategy and leadership roles.
  • Strong knowledge in compliance with local tax regulations.
  • Ability to lead a finance department and develop teams.

Responsibilities

  • Develop and execute the company’s financial strategy.
  • Oversee annual budget creation and financial forecasts.
  • Ensure compliance with tax regulations and financial policies.
  • Manage working capital and optimize cash flow.
  • Partner with departments for financial insights and support.

Job description

On-site - Pasay >10 Yrs Exp Master Full-time

Job Description

Financial Strategy & Leadership

Develop and execute the company’s financial strategy aligned with business objectives.

Provide financial insights to senior leadership and guide long-term planning.

Lead the finance department, mentor staff, and build high-performance teams.

Financial Planning, Budgeting & Forecasting

Oversee annual budget creation and multi-year financial forecasts.

Monitor financial performance vs. budget, ensuring variance analyses and corrective actions.

Recommend cost-efficiency initiatives and investment decisions.

Accounting & Reporting

Ensure timely and accurate preparation of monthly, quarterly, and annual financial statements.

Maintain compliance with PFRS and corporate accounting policies.

Oversee general ledger management, accounts payable/receivable, cash flow, and treasury activities.

Tax Compliance & Regulatory Requirements

Ensure full compliance with BIR regulations (VAT, withholding taxes, income tax, etc.).

Oversee filings with government agencies depending on the business.

Liaise with external auditors, tax advisors, and government regulators.

Strengthen internal control procedures and ensure adherence to financial policies.

Identify financial risks and implement mitigation strategies.

Oversee internal and external audits, ensuring timely resolution of findings.

Cash Flow & Treasury Management

Manage working capital, liquidity, and banking relationships.

Optimize cash flow and ensure adequate funding for operations.

Evaluate financing options, credit facilities, and treasury transactions.

Strategic Business Support

Partner with department heads on financial impact assessments.

Provide data for pricing strategies, cost analysis, and profitability reviews.

Support new business initiatives, expansions, and feasibility studies.

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