Responsibilities
- Plans and manages the company’s financial resources
- Monitors and controls cash inflow and outflow
- Oversees the preparation of periodic financial reports
- Prepares and analyzes timely sales reports
- Develops and analyzes budgets and forecasts, including templates
- Resolves bank reconciling items
- Ensures check vouchers and disbursements are processed within 3 working days upon APV receipt
- Performs other tasks as assigned by the VP – Finance
Requirements
- Bachelor’s degree in Accountancy
- Must have CPA license
- 2–5 years of experience in accounting, with a focus on cost and fixed asset accounting
- Proficient in standard costing, landed cost computation, and inventory reconciliation
- Experienced in preparing and analyzing gross profit reports, division profitability, and monthly/year-end closing
- Strong knowledge of accounting standards and principles
- Highly analytical, detail-oriented, and skilled in critical thinking
- Excellent in both written and verbal communication
- Effective in coordinating with auditors and handling year-end inventory counts
- Proficient in Microsoft Excel and accounting systems; NetSuite/Oracle experience is a plus
- Demonstrated leadership and people management skills, with the ability to supervise and review team outputs