Accounting Head
National Capital Region, National Capital Region
Posted 7 days ago
- Company:
- Dempsey Resource Management Incorporated
- Company Description:
- Dempsey Resource Management Inc. (DEMPSEY) is an executive search and referral services company. We do assist our client companies in the sourcing of competent and qualified candidates to fill up various job positions in their organization. The job positions we are targeting for our referred candidates are those intended for direct hiring by our clients. Our company is not a contracting agency. We do not hire and deploy people to other companies for contractual, temporary jobs or even special projects.
- Contract Type:
- Full Time
- Experience Required:
- 5 to 10 years
- Education Level:
- Bachelor’s Degree
- Number of vacancies:
- 1
Job Description
Graduate of BS Accountancy
CPA, an advantage
At least 5 years managerial experience
Excellent understanding of Generally Accepted Accounting Principles
Knowledgeable in Financial Statement preparation and processing of business permits, licenses and other government compliances
Ability to develop and establish financial policies and procedures
Skills: Excellent Communications Skills both (written and verbal), Interpersonal, Listening, Time Management, Organization, Administrative, Result-Oriented, Advance Excel Proficiency
Can work independently and can manage several tasks at once
Proven ability to prioritize among competing tasks and to juggle multiple projects at a time, while maintaining sharp attention to details
Ability to motivate and lead Accounting Team
Exhibits high level of integrity and ability to keep confidential information
Job Description:
General Responsibility of the Accounting Head is responsible for all areas relating to financial reporting addresses tight deadlines and multitude of accounting activities including general ledger preparation, year-end audit, financial analysis and budget support and forecast act.
This position will be responsible for developing and maintaining accounting principles, practices and procedures to ensure accurate and timely submission of financial statements and reports.
Planning, implementing and supervising the company’s financial strategy.
Managing the company’s financial accounts, payroll, budget, cash receipts and financial assets
Handling the company’s transactions and debts and doing cash flow forecasting
Performing the company’s financial audits
Following proper accounting procedures to reach financial objectives
Monitoring and analyzing financial accounting data
Creating financial reports based on data analysis
Making recommendations to business stakeholders