Senior Accountant — Philippines Financial Controller

VRI Crew

Bacoor

On-site

PHP 600,000 - 1,000,000

Full time

14 days+

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Job summary

VRI Crew is seeking a Senior Accountant to take full ownership of financial accounting for our Philippines entity. You will handle daily, monthly, and quarterly accounting tasks, ensuring data accuracy and regulatory compliance, including tax and reporting under MFRS and group requirements.

You will coordinate month-end processes, support intercompany reconciliations, invoicing, and collections, and liaise with auditors and tax authorities.

Qualifications

  • Experience in financial accounting for a Philippines entity.
  • Strong month-end close and reporting capabilities.
  • Ability to perform intercompany reconciliations and tax compliance.
  • Experience supporting external audits and statutory filings.

Responsibilities

  • Take full ownership of financial accounting for the Philippines entity.
  • Handle month end tasks for the Philippines ledgers within the Group.
  • Prepare monthly, quarterly, and annual financial reports per MFRS and group requirements.
  • Ensure accuracy and transparency of accounting data.
  • Analyze financial reports to identify tax trends and risks and propose solutions.
  • Review transactions posted by the Group Transactional Team.
  • Manage customer invoicing and collections for Philippines entities.
  • Liaise with external auditors and local tax authorities for compliance.
  • Support ad hoc tasks as directed by Finance Director.

Skills

Financial accounting
Month-end close
Intercompany reconciliations
Tax compliance
Financial reporting
Auditing liaison
Analytical mindset
Communication skills

Tools

Accounting software

Job description

VRI Crew is seeking a Senior Accountant to take full ownership of financial accounting for our Philippines entity. You will handle daily, monthly, and quarterly accounting tasks, ensuring data accuracy and regulatory compliance, including tax and reporting under MFRS and group requirements.

You will coordinate month-end processes, support intercompany reconciliations, invoicing, and collections, and liaise with auditors and tax authorities.

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