Posted as of: Friday, April 5, 2024
Status: Archived
Company: Philcare Pharma, Inc.
Number of available position(s): 1
Description: Philcare Pharma Inc. is looking for Accounting Manager that plays a crucial role in overseeing the financial operations of the organization, ensuring accuracy, compliance with regulations, and efficient processes. They manage a team of accountants and collaborate with other departments to provide accurate financial information and support decision-making.
Philcare Pharma Inc. is looking for Accounting Manager that plays a crucial role in
overseeing the financial operations of the organization, ensuring accuracy, compliance with
regulations, and efficient processes. They manage a team of accountants and collaborate with
other departments to provide accurate financial information and support decision-making.
Duties and Responsibilities: · Prepare and analyze financial statements, including balance sheets, income statements, and cash flow statements. · Coordinate and oversee the month-end and year-end closing processes. · Develop and manage the annual budgeting process. · Prepare financial forecasts based on business trends and operational performance. · Monitor actual financial performance against budgets and forecasts, providing insights and recommendations for improvement. · Manage cash flow by forecasting cash needs and optimizing cash utilization. · Monitor bank accounts, reconcile bank statements, and oversee cash transactions. · Develop and implement strategies to maximize cash efficiency and minimize risks. · Ensure compliance with tax laws and regulations at local, state, and federal levels. · Coordinate with external tax advisors to prepare and file tax returns accurately and on time. · Implement tax planning strategies to minimize the organization's tax liabilities. · Establish and maintain internal control procedures to safeguard company assets and ensure financial accuracy. · Coordinate internal and external audits, providing necessary documentation and support. · Implement recommendations from auditors to strengthen internal controls and improve financial processes. · Foster a collaborative and supportive work environment to maximize team effectiveness and morale. · Conduct financial analysis to support strategic decision-making and business planning. · Provide insights and recommendations to senior management based on financial performance, trends, and forecasts. · Collaborate with other departments to assess the financial impact of business initiatives and investment opportunities.
· Prepare and analyze financial statements, including balance sheets, income statements,
and cash flow statements.
· Coordinate and oversee the month-end and year-end closing processes.
· Develop and manage the annual budgeting process.
· Prepare financial forecasts based on business trends and operational performance.
· Monitor actual financial performance against budgets and forecasts, providing insights
and recommendations for improvement.
· Manage cash flow by forecasting cash needs and optimizing cash utilization.
· Monitor bank accounts, reconcile bank statements, and oversee cash transactions.
· Develop and implement strategies to maximize cash efficiency and minimize risks.
· Ensure compliance with tax laws and regulations at local, state, and federal levels.
· Coordinate with external tax advisors to prepare and file tax returns accurately and on
time.
· Implement tax planning strategies to minimize the organization's tax liabilities.
· Establish and maintain internal control procedures to safeguard company assets and
ensure financial accuracy.
· Coordinate internal and external audits, providing necessary documentation and
support.
· Implement recommendations from auditors to strengthen internal controls and improve
financial processes.
· Foster a collaborative and supportive work environment to maximize team effectiveness
and morale.
· Conduct financial analysis to support strategic decision-making and business planning.
· Provide insights and recommendations to senior management based on financial
performance, trends, and forecasts.
· Collaborate with other departments to assess the financial impact of business initiatives
and investment opportunities.
Qualifications: · Bachelor's degree in Accounting, Finance, or related field (Master's degree or CPA certification is a plus). · Several years of progressive experience in accounting and finance roles, with at least some experience in a supervisory or managerial capacity. · Strong knowledge of accounting principles, regulations, and best practices. · Proficiency in financial software and ERP systems (e.g., SAP, Oracle, QuickBooks). · Excellent analytical, communication, and leadership skills. · Ability to prioritize tasks, manage deadlines, and work effectively under pressure.
· Bachelor's degree in Accounting, Finance, or related field (Master's degree or CPA
certification is a plus).
· Several years of progressive experience in accounting and finance roles, with at least
some experience in a supervisory or managerial capacity.
· Strong knowledge of accounting principles, regulations, and best practices.
· Proficiency in financial software and ERP systems (e.g., SAP, Oracle, QuickBooks).
· Excellent analytical, communication, and leadership skills.
· Ability to prioritize tasks, manage deadlines, and work effectively under pressure.
Requirements: TOR or Diploma Employment Certificate, if available four copies of 1x1 and 2x2 white background picture Birth Certificate or Passport Valid NBI or Police Clearance Tin Card or Tin Number SSS Card or E1 form Pagibig ID or Pagibig form Philhealth ID or Philhealth form Marriage Certificate if applicable Any two valid ID for opening of China Bank Payroll Account Medical Examination with fit to work to be conducted by our accredited medical clinic
Skills: (Not indicated)
Work Location: Pasig City
Interested to apply? Send your application letter and CV to:
Contact Person (Undisclosed)
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