Job Description
KEY RESPONSIBILITIES
You will:
- Supervise team members responsible for day‑to‑day finance operations and coordinate their tasks to ensure all reporting deadlines are met.
- Track daily cash positions and manage all cash‑related activities to maintain adequate operating funds.
- Oversee disbursement procedures, including verification of check vouchers, processing of petty cash releases, and validation of cash advances.
- Prepare the weekly budget prior to check voucher processing to ensure proper fund allocation.
- Produce financial reports such as cash flow statements, expense forecasts, accounts payable aging, and other schedules related to treasury functions.
- Review liquidation reports, disbursement documents, and replenishment requests to ensure accuracy and compliance.
- Validate and post all accounting entries in SAP prepared by the Cash Management Accountant, ensuring they are complete and accurate.
- Manage bank‑related activities, including documentation, fund transfers, and coordination with banking partners.
- Support audit activities by preparing required schedules, addressing auditor queries, and organizing cash‑related documents.
QUALIFICATIONS & REQUIREMENTS:
- You must have a bachelor’s degree in Accountancy or any business program, or a related course.
- You must have at least 3 years of relevant experience in cash management, with at least 1 year in a supervisory or team lead position.
- You must have experience in bank coordination and relationship management.
- You must have hands-on experience in using SAP.
Work Schedule: Regular day shift (8 am – 5 pm)
Work Setup: Onsite – Marikina City