Record day-to-day financial transactions and ensure accuracy in the general ledger.
Support the month-end and year-end close process, including journal entries and account reconciliations.
Perform daily reconciliations of all bank accounts, payment gateways, and digital wallets across applicable currencies (e.g., USD, PHP, SGD) to ensure accuracy and completeness of financial records.
Prepare vendor bills and ensure accurate and timely recording of all accounts payable transactions.
Manage the end-to-end accounts payable (AP) process, including invoice verification, recording, and reconciliation.
Assist in gathering, organizing, and routing required documents and supporting schedules for statutory audits, tax filings, and other regulatory compliance requirements.
Support the migration and implementation of the accounting system to Oracle NetSuite, ensuring accurate data transfer and system configuration.
Collaborate with the Accounting Associate Manager in the preparation of accurate and timely financial reports to support strategic business decision-making.
Work closely with Finance and other departments to ensure financial data is complete, consistent, and accurate.
Perform various ad hoc accounting tasks and participate in special projects as assigned by management (e.g., data clean-up, reporting requests, financial analysis support, system testing).
Key Area of Responsibilities:
Audit and Compliance
Assist in preparing and organizing documents for statutory audits, tax filings, and regulatory compliance.
Ensure accurate and timely recording of transactions and support account reconciliations for audit readiness.
Financial Reporting
Record daily financial transactions and maintain accuracy in the general ledger.
Support month-end and year-end close processes, including journal entries and financial report preparation.
Business Partnership
Collaborate with the Accounting and cross-functional teams to ensure completeness, accuracy of financial data, and are aligned with the established SOPs and targets.
Manage the end-to-end accounts payable process, including vendor billing, invoice verification, and recording.
Projects
Support the migration and implementation of Oracle NetSuite, ensuring accurate data transfer.
Participate in ad hoc tasks and special projects, reporting enhancements, and design strategies to achieve smooth implementation.
Key qualifications:
Bachelor’s degree, preferably in Finance or Accounting.
3-5 years of combined experience in Accounting.
Certified Public Accountant (CPA), Certified Tax Technician (CTT), or Certified Bookkeeper (CB) are a plus
Tech Savviness, Problem Solving, and Analytical Thinking
Detail-oriented with excellent organizational and communication skills
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