About the job Assistant Finance Manager - FP&A and Reporting (CPA)
Office location: Quezon City
Work setup: Hybrid (4 days onsite, 1 day WFH)
Schedule: Monday to Friday, Dayshift
Qualifications
Certified Public Accountant (CPA) with 6–7 years of relevant experience across financial reporting, consolidation, and financial planning & analysis
Strong technical knowledge of Philippine Financial Reporting Standards (PFRS), including financial close and consolidation processes
Proven experience in budgeting, forecasting, financial modeling, and corporate financial analysis
Exposure to corporate finance, capital planning, investment appraisal, and/or mergers & acquisitions is highly preferred
Solid background in governance, internal controls, and risk management, with experience identifying and resolving control gaps
Advanced proficiency in Excel and financial systems; experience with SAP Analytics Cloud and/or ERP platforms is an advantage
Excellent communication skills with the ability to translate complex financial data into clear insights for senior stakeholders
Prior experience in real estate, infrastructure, or asset-heavy industries is an advantage but not required
Proven leadership experience, including team supervision, coaching, and performance management
Key Responsibilities
Financial Reporting & Consolidation: Lead the preparation, consolidation, and submission of accurate and timely financial reports in compliance with PFRS and internal policies
Financial Close & Controls: Oversee the end-to-end financial closing process, ensuring integrity of data, proper application of accounting standards, and strong internal controls
Budgeting & Forecasting: Drive the annual budgeting process and periodic forecasts, including consolidation, validation, challenge of assumptions, and presentation to management
Performance Analysis: Deliver monthly, quarterly, and ad hoc financial analysis, highlighting variances, trends, risks, and actionable insights to support strategic decision-making
Capital & Investment Analysis: Evaluate capital expenditures and enterprise initiatives, providing financial recommendations aligned with business objectives and risk considerations
Audit & Compliance: Manage external and internal audits, ensure readiness of documentation, and implement corrective actions for audit findings
Business Partnering: Collaborate with business units to understand operational drivers, assess financial impacts (CAPEX/OPEX), and provide strategic financial guidance
Systems & Process Improvement: Act as a key user or administrator for financial systems (e.g., SAP Analytics Cloud), driving enhancements in reporting efficiency, automation, and data accuracy
Governance & Risk Management: Strengthen financial controls, ensure compliance with regulatory and internal requirements, and proactively identify financial risks
Team Leadership: Supervise and mentor team members, providing direction on deliverables, supporting career development, and ensuring high-performance standards