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Responsibilities
The role involves conducting budget and variance analysis and forecasting, reconciling intercompany balances and receivables, and monitoring submissions and deadlines for both internal and external parties. It also covers tax compliance and review, including the preparation and review of tax returns, reports, and schedules, ensuring timely compliance with tax regulations, handling BIR-related transactions, audits, and assessments, and monitoring tax updates to advise management on compliance requirements. Additionally, the position requires reconciling tax accounts, supporting financial reporting requirements, and preparing other financial reports as needed.
Qualifications
Job ID: 151645639
Skills:
Microsoft Excel, Formulas, trend charting, internal financial control frameworks, data synthesis
Skills:
Microsoft Excel, General Ledger reconciliations, Accounting Operations, financial analysis, financial reporting, Financial Processes, Accounting Principles
Skills:
Microsoft Excel Advanced, Financial Analysis
Skills:
Microsoft Excel, Forecasting, Financial analysis, ERP systems, Financial Modelling, Financial software applications
Skills:
Excel, Familiarity with ERP systems, CPA certification, Financial Software, Proficiency in Microsoft Office