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Trust Hardware Phils., Inc.

Finance / Accounting Manager

Trust Hardware Phils., Inc.

With business certificates
Established in 1979 | 201-500 employees
#88 Monteverde Avenue, Davao City, Davao del Sur
Total vacancies for this job title : 1
Posted on : November 16, 2020
Job ID : 367653

Details

TRUST HARDWARE PHILS., INC.
 
Is currently looking for:
 
FINANCE / ACCOUNTING MANAGER
 
Job Summary
 
The role of Finance Manager is to help the company’s leaders to make sound business decisions and meet the company’s objectives. It will be mainly responsible for providing accounting and technical advice.
     
Duties and Responsibilities
 
Accounting Management:
  • Ensure timely and accurate preparation of monthly financial statements.
  • Direct, supervise, and coordinate daily activities such as revenue recording, expenses, assets, and liabilities on time.
  • Head the company’s month-end closing.
  • Prepare reports for Execomm Meeting.
  • Assist external auditor for the annual audit.
  • Check, review and approve vouchers (checks and journals).
  • Compute bonuses, commissions, and confidential payroll.
  • Counter check payroll and payroll-related expenses.
  • Verify BIR payment in the bank payroll system.
  • Check and approve billing statements.
  • Check computation of taxes prior to filling and payment
  • Maintain a documented system of accounting policies and procedures.
  • Provides guidance and assistance to subordinates.
  • Oversee operations of the department including design of the organizational structure to achieve the department goals. 
Finance/Treasury Management
  • Manage funds in an efficient and effective manner thus maximizing the return of investment.
  • Handle cash flow management including the processing of all disbursements from preparation to release.
  • Meet the collection targets for all company receivables.
  • Forecast cash flow positions and available funds for investment.
  • Ensure sufficient funds are available to meet on-going operational and capital investment requirements.
  • Maintain a good bank relationship.
  • Assist in determining the company’s proper capital structure.
  • Arrange equity and debt financing should the need arise.
  • Recommend appropriate dividend issuances.
Budgeting
  • Manage the preparation of the company’s budget
  • Report on variances from the established budget and the reasons for the variances.
Financial Analysis
  • Engaged in the on-going cost reduction analysis in all areas of the company
  • Establish areas of potential operational improvement.
  • Interpret the company’s financial results to management and recommend improvement activities.
  • Review company bottlenecks and recommend changes to improve the overall level of the company.
  • Participate in target costing activities.
  • Compile key business metrics and provide growth analysis.
  • Provide sound advice to management on the liquidity aspects of short and long-range planning.
Qualifications:
  • Bachelor’s Degree in Finance, Accounting or related field required 
  • 5+ years’ experience in a financial management position
  • Should be a Certified Public Accountant (CPA)
  • Proven strategic planning experience at the management level
  • Should have solid experience in all facets of Financial Management including internal auditing.
  • Proficient in Microsoft Excel and PowerPoint
  • Demonstrated creative and critical thinking skills
  • Able to work on multiple projects simultaneously
  • Strong communication and presentation skill


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