12/03/2025 updated


100 % available
Senior Financial Officer & Accounting Manager
Quezon City, Philippines Bachelor of Science in Accountancy
Accounts PayableAccounts ReceivableAccountingArtificial IntelligenceBusiness ProcessesCash ManagementConsultingManagement AccountingEnterprise Resource PlanningFinanceFinancial ManagementFinancial AccountingGenerally Accepted Accounting PrinciplesSAP ERPPivot TableCost Accounting
Financial Management & Reporting
Comprehensive expertise in financial reporting, budgeting, cost control, treasury management, cash flow oversight, and strategic financial planning across multiple industries including pharmaceutical, consulting, and banking sectors.
SAP ERP Systems
Advanced proficiency in SAP modules including FICO, MM, Production, and SD for enterprise resource planning, financial accounting, and business process optimization.
Tax Compliance & Auditing
Extensive knowledge in tax preparation, filing, BIR compliance, internal auditing, external audit coordination, and regulatory compliance across various government institutions and banking regulations.
Microsoft Office Suite
Advanced Excel skills including macros, pivot tables, lookups, along with PowerPoint and Word proficiency for comprehensive business documentation and analysis.
General & Cost Accounting
Deep understanding of general accounting principles, cost accounting methodologies, accounts payable/receivable management, and financial statement preparation.
Banking & Bookkeeping
Solid foundation in banking operations, bookkeeping practices, and financial record maintenance with experience in savings bank environments.
AI Tools
Basic knowledge and familiarity with artificial intelligence tools including ChatGPT and Canva for business applications and process enhancement.
Multi-Currency Accounting
Experience in handling multi-currency accounting simulations and data migration processes for international business operations.
Comprehensive expertise in financial reporting, budgeting, cost control, treasury management, cash flow oversight, and strategic financial planning across multiple industries including pharmaceutical, consulting, and banking sectors.
SAP ERP Systems
Advanced proficiency in SAP modules including FICO, MM, Production, and SD for enterprise resource planning, financial accounting, and business process optimization.
Tax Compliance & Auditing
Extensive knowledge in tax preparation, filing, BIR compliance, internal auditing, external audit coordination, and regulatory compliance across various government institutions and banking regulations.
Microsoft Office Suite
Advanced Excel skills including macros, pivot tables, lookups, along with PowerPoint and Word proficiency for comprehensive business documentation and analysis.
General & Cost Accounting
Deep understanding of general accounting principles, cost accounting methodologies, accounts payable/receivable management, and financial statement preparation.
Banking & Bookkeeping
Solid foundation in banking operations, bookkeeping practices, and financial record maintenance with experience in savings bank environments.
AI Tools
Basic knowledge and familiarity with artificial intelligence tools including ChatGPT and Canva for business applications and process enhancement.
Multi-Currency Accounting
Experience in handling multi-currency accounting simulations and data migration processes for international business operations.
Languages
EnglishFluent
Project history
Oversee financial reporting, budgeting and cost control. Develop financial strategies aligned with company goals. Manage treasury and cash flow, working capital and liquidity. Oversee company invoices and collections from customers. Monitor profitability across channels. Oversee tax preparation and filing. Build and manage high-performing finance team.
Oversee daily transactions including accounts payable/receivable, general ledger and bank accounting management. Responsible for managing company financial obligations to vendors, suppliers, and service providers. Ensure compliance to regulation and internal controls. Oversee company invoicing and payment collections. Maintain company cash-flow and tax preparation.
Perform mock data take-on for SAP S/4 HANA migration. Perform multi currency accounting simulation for data being migrated. Reconcile balances of migrated data. Prepare process flow charts for client business processes indicating relevant control points. Report to finance change manager.