Managing the financial reporting for the organization. This includes monthly financial reporting, budgeting and forecasting, 5-year financial plans, and all statutory financial reporting
Reporting to management and stakeholders, and providing advice on how the company and future business decisions might be impacted
Managing and overseeing the taxation affairs of the organization and liaising with the external tax firm for specialist advice
Managing and overseeing the cash flow of the company and ensuring it has the appropriate treasury controls
Managing the External Auditor relationship and ensuring the organization is compliant with accounting standards
Managing and overseeing the company's banking and borrowing arrangements
Overseeing Accounts Payable, Accounts Receivable, Tax, Treasury, Payroll, Financial and Management Accounting functions.
Risk Management to ensure the business has a solid risk framework in place
Managing and tracking budget and accounting information including billing, collections, and tax information
Conduct profit and loss analysis
Developing strategies that work to minimize financial risk
Making financial projections, cashflows, and inflows of the company
Preparing financial projections of every project
Looking for cost-reduction opportunities
Qualifications:
Must be a CPA.
With at least 1 year experience in related position.
Exceptional time management and able to solve problems
Exceptional interpersonal communication and leadership skills, with the ability to communicate and manage staff at all levels
Ability to lead by example and demonstrate a strong sense of integrity, ethics, and dependability
Professional written and oral communication skills
Strategic thinking, planning, and creative problem-solving skills
Ability to work under pressure
Reporting to management and stakeholders, and providing advice on how the company and future business decisions might be impacted
Managing and overseeing the taxation affairs of the organization and liaising with the external tax firm for specialist advice
Managing and overseeing the cash flow of the company and ensuring it has the appropriate treasury controls
Managing the External Auditor relationship and ensuring the organization is compliant with accounting standards
Managing and overseeing the company's banking and borrowing arrangements
Overseeing Accounts Payable, Accounts Receivable, Tax, Treasury, Payroll, Financial and Management Accounting functions.
Risk Management to ensure the business has a solid risk framework in place
Managing and tracking budget and accounting information including billing, collections, and tax information
Conduct profit and loss analysis
Developing strategies that work to minimize financial risk
Making financial projections, cashflows, and inflows of the company
Preparing financial projections of every project
Looking for cost-reduction opportunities
Qualifications:
Must be a CPA.
With at least 1 year experience in related position.
Exceptional time management and able to solve problems
Exceptional interpersonal communication and leadership skills, with the ability to communicate and manage staff at all levels
Ability to lead by example and demonstrate a strong sense of integrity, ethics, and dependability
Professional written and oral communication skills
Strategic thinking, planning, and creative problem-solving skills
Ability to work under pressure
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FValentin Prime Devt. Corporation
About the company
FValentin Prime Devt. Corporation jobs
Quezon City, Metro Manila
Position Accountant recruited by the company FValentin Prime Devt. Corporation at MetroManila, Quezon, Quezon, Manila, Joboko automatically collects the salary of , finds more jobs on Accountant or FValentin Prime Devt. Corporation company in the links above
About the company
FValentin Prime Devt. Corporation jobs
Quezon City, Metro Manila