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An established industry player is seeking a meticulous finance professional to oversee financial reporting and budgeting processes. This role involves preparing financial statements, managing cash flow, and ensuring compliance with regulatory standards. The ideal candidate will have a strong background in accounting, excellent communication skills, and the ability to lead a team. Join a forward-thinking company that values collaboration and continuous improvement, where your contributions will directly impact financial operations and strategic goals.
JOB RESPONSIBILITIES:
Monthly Reporting
• Financial Statements Preparation: Supervise and review the preparation of monthly, quarterly, and annual financial statements, ensuring accuracy and compliance with accounting standards.
• Monthly Reconciliations and Reporting: Review and approve monthly reconciliations and reports to ensure compliance with internal and external standards.
• Cash Flow Management: Manage cash flow, allocate & maintain operation budgets, and optimize working capital.
• Cost Activities and Productivity: Support other departments with cost-related activities, including product costing, cost analysis, costing structure, and margin analysis.
• Transfer Pricing and Tax Filing: Assist in the preparation of transfer pricing documentation, direct and indirect tax filings, and ensure timely submission of all tax-related documents.
• Collaboration with SSC: Work closely with the Shared-Services Centre (SSC) in Manila on day-to-day finance operations, including Accounts Payable (AP), Accounts Receivable (AR), and General Ledger (GL).
Budgeting, Forecasting and Statutory
• Budget and Forecast Preparation: Lead the preparation of the annual budget and periodic forecasts, ensuring alignment with strategic goals.
• Regulatory Liaison and Compliance: Liaise with tax agents, auditors, and regulatory bodies. Prepare relevant schedules and documentation for regulatory filings or audits.
• Internal Financial Controls: Establish and enforce internal financial controls, conduct fixed asset and year-end stock takes, and implement improvements based on internal audits.
Others
• Ad-hoc Analysis and Reporting: Perform ad-hoc analysis and special projects as needed, and assist in preparing reports and presentations.
• Special Projects and System Enhancements: Contribute to special projects, system implementations, and process improvement initiatives, ensuring alignment with organizational objectives.
• Team Development: Provide coaching, and guidance to junior team member to enhance his/her skills and performance.
JOB REQUIREMENTS:
• Professional accounting qualifications or a recognized Degree in Accountancy
• Knowledge of Infor M3/ERP is an added advantage
• Knowledge of financial reporting and familiar with corporate taxes
• Construction knowledge will be an added advantage
• Meticulous, organized, good working attitudes, hands-on and a team player
• Ability to prioritize tasks, work independently and possess strong sense of urgency
• Strong communication skills