Location:
Quezon City, National Capital Region
Contract Type:
Full Time
Experience Required:
5 to 10 years
Education Level:
Master’s Degree
Salary:
90.000,00 ₱ /
Monthly
Job Description
*Financial Planning and Analysis*
-Develop and manage the company’s annual budget and financial forecasts.
-Analyze financial performance against budget, identify variances, and recommend corrective actions.
-Prepare and present financial reports to senior management, including income statements, balance sheets, and cash flow statements.
-Conduct financial modeling and analysis to support strategic decision-making
*Controllership*
-Oversee all accounting operations, including accounts payable, accounts receivable, general ledger, and payroll.
-Ensure the accuracy and integrity of financial records and systems.
-Develop and maintain internal controls to safeguard company assets and ensure compliance with policies and regulations.
-Manage the month-end and year-end closing processes.
*Financial Reporting*
-Prepare and file all required financial reports, including those for regulatory agencies (e.g., Securities and Exchange Commission - SEC, Bureau of Internal Revenue - BIR).
-Ensure compliance with Philippine Financial Reporting Standards (PFRS) and other applicable accounting standards.
-Coordinate with external auditors and manage the annual audit process.
*Tax Compliance*
-Oversee the preparation and filing of all tax returns, including income tax, value- added tax (VAT), and other local taxes.
-Ensure compliance with all Philippine tax laws and regulations.
-Manage tax audits and resolve tax-related issues.
*Team Leadership and Management*
-Lead, mentor, and develop a team of accounting and finance professionals.
-Set performance goals, provide feedback, and conduct performance evaluations.
-Foster a positive and collaborative work environment.
*Process Improvement*
-Identify opportunities to improve financial processes and systems.
-Implement best practices to enhance efficiency, accuracy, and internal controls.
-Evaluate and implement new technologies to automate financial functions.
*Treasury Management*
-Manage the company's cash flow and working capital.
-Develop and maintain relationships with banks and other financial institutions
-Develop and manage the company’s annual budget and financial forecasts.
-Analyze financial performance against budget, identify variances, and recommend corrective actions.
-Prepare and present financial reports to senior management, including income statements, balance sheets, and cash flow statements.
-Conduct financial modeling and analysis to support strategic decision-making
*Controllership*
-Oversee all accounting operations, including accounts payable, accounts receivable, general ledger, and payroll.
-Ensure the accuracy and integrity of financial records and systems.
-Develop and maintain internal controls to safeguard company assets and ensure compliance with policies and regulations.
-Manage the month-end and year-end closing processes.
*Financial Reporting*
-Prepare and file all required financial reports, including those for regulatory agencies (e.g., Securities and Exchange Commission - SEC, Bureau of Internal Revenue - BIR).
-Ensure compliance with Philippine Financial Reporting Standards (PFRS) and other applicable accounting standards.
-Coordinate with external auditors and manage the annual audit process.
*Tax Compliance*
-Oversee the preparation and filing of all tax returns, including income tax, value- added tax (VAT), and other local taxes.
-Ensure compliance with all Philippine tax laws and regulations.
-Manage tax audits and resolve tax-related issues.
*Team Leadership and Management*
-Lead, mentor, and develop a team of accounting and finance professionals.
-Set performance goals, provide feedback, and conduct performance evaluations.
-Foster a positive and collaborative work environment.
*Process Improvement*
-Identify opportunities to improve financial processes and systems.
-Implement best practices to enhance efficiency, accuracy, and internal controls.
-Evaluate and implement new technologies to automate financial functions.
*Treasury Management*
-Manage the company's cash flow and working capital.
-Develop and maintain relationships with banks and other financial institutions
Number of vacancies:
2
Company Description
At WalterMart, we don’t just work with our employees. We nurture them and help them grow. Our extensive on-boarding programs allow our employees to understand our vision to help make it a reality
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