Roles and Responsibilities- Maintain the general ledger and all other supporting ledgers to ensure financial information is up to
date, and data integrity- Month end Accounting including journal entries for; accruals, prepayments, amortisation
- Production of monthly P&L reporting - including reporting packs
Completion of the monthly reconciliation of the balance sheet accounts
- Preparation of weekly cashflow
Assist with Local and Foreign Tax submission- Reconcile inventory management system
Ensure files and record keeping within the Finance department is up to date
- Preparation of weekly and month reports for wider business
Participate in other project and adhoc tasksMinimum Qualifications
- Relevant tertiary qualification and CA/CPA
Experience in using Netsuite
- Strong financial accounting background/ experience
Working knowledge of local/ international accounting legislation- Good IT literacy/ accounting package knowledge
Superior analytical skills and commercial acumen
- Ability to manage budgets and achieve associated performance targets
Excellent communication skills- MS Office (Excel) advanced
Minimum of 3 years experience
- Experience in setting up finance processes, controls and systems is highly desirable
Free barista-style coffee
- Free parking and jeepney services
Highly engaged team- Unlimited potential for growth
Challenging role
- Fun and family-oriented working environment
Job Types: Full-time, Permanent
Pay: Php55,
- 00 - Php65,000.00 per month
Benefits: - Health insurance
On-site parking- Transportation service provided
Schedule: Day shift
Supplemental pay types:
Experience:
- NetSuite: 1 year (Preferred)
* Account reconciliation: 1 year (Preferred)