Key responsibilities for this role include:
- Management Reporting
- Support the preparation and consolidation of weekly and monthly financial reporting across the business.
- Preparation of weekly consolidated sales reporting based on system exports.
- Reconciliation of customer deposits, vendor deposits, and related balances supporting revenue recognition outcomes.
- Monthly reconciliation of CRM reports to finance sales reports.
- Preparation of weekly debtor reports, including data extraction from accounting systems and consolidation into reporting templates.
- Monthly intercompany sales reconciliation across entities.
- Month-end close process and associated balance sheet reconciliations for key accounts.
- Finance Process Quality Checks
- Support the accuracy and integrity of core finance processes across multiple entities by overseeing tools and processes that cover:
- Oversight of first-run accounts payable ingestion processes.
- Validation of OCR-captured invoice data and initial coding allocations.
- First-pass three-way matching for invoices without exceptions.
- Monitoring and support of daily billing mirroring between operational systems and the finance system.
- Control-oriented reviews of automated AP workflows to ensure financial data integrity.
- Financial Reconciliation and Data Integrity
- Maintain accuracy and integrity of financial data across systems and entities.
- Reconciliation between billing systems and finance systems.
- Intercompany reconciliation.
- Vendor and supplier reporting.
- Balance sheet reconciliations.
- Investigation and escalation of discrepancies across systems and reports.
- Enhanced Internal and Stakeholder Reporting
- Based on systems readiness and available capacity, the role also includes actioning and enhancing the following internal and external reporting capabilities:
- Job status reporting.
- Job costing analysis.
- Debtor movement reporting.
- Weekly cash reporting and allocation tracking.
- Sales reporting by salesperson.
- Monthly vendor reporting.
- Assistance with preparation of monthly management accounts.
- Participation in month-end close processes.
- Quarterly investor and bank reporting.
- Reconciliation of billing systems to finance systems across multiple entities.
- Key Tasks
- Typical tasks performed in the role include:
- Extracting financial data from accounting systems.
- Maintaining consolidated reporting spreadsheets.
- Preparing reconciliations across systems and entities.
- Reviewing automated finance processes for accuracy.
- Supporting month-end close activities.
- Preparing draft management reporting packs for CFO review.
- Identifying inconsistencies or variances within financial data.
Successful candidates must have:
- Required
- Strong experience with Xero or similar cloud accounting platforms.
- Solid understanding of management accounting principles.
- Experience performing financial reconciliations across multiple systems.
- Strong Excel spreadsheet modelling skills.
- Understanding of revenue recognition concepts.
- Strong ability to reconcile large datasets and investigate variances across multiple source systems.
- Familiarity with accounts payable workflows and invoice processing.
- Experience working across multiple legal entities.
- Ability to work remotely as part of an Australian finance team.
- Ability to operate with moderate autonomy once trained in Bestech-specific processes.
- Comfortable working from documented procedures, recurring reporting timetables, and defined review points.
- Able to identify exceptions clearly and escalate with supporting detail.
- Preferred
- Experience reconciling CRM and finance system data.
- Exposure to job costing environments.
- Experience preparing management reporting packs.
- Experience with month-end close and balance sheet reconciliations.
- Qualifications
- Accounting, commerce, business, or a similar degree preferred.
- CA/CPA or equivalent qualification is desirable but not mandatory.
- Practical experience in finance reporting and reconciliations is more important than formal qualification alone.
Work Arrangements:
- Schedule: 6:00 AM - 3:00 PM PHT
- Work Setup: Work-Onsite Setup
- Office Location: Parkway Corporate Center, Alabang, Muntinlupa City
What's in it for YOU
At Integrated OS, we create career opportunities where you can thrive, grow, and make an impact.
- Competitive Salary & Benefits: Be rewarded for your expertise and dedication.
- Career Growth & Development: Work alongside international clients and gain valuable experience.
- Work-Life Balance: Our innovative activities, open communication channels, and commitment to inclusivity make every day exciting and rewarding!
- Collaborative & Supportive Environment: Be part of a passionate team that values innovation and teamwork.