Treasury Management
- Manage daily cash flow, monitor liquidity, and ensure availability of funds for operations.
- Oversee cash collections, disbursements, interbank transfers, and investment placements.
- Coordinate with banks, financial institutions, and auditors for banking operations and confirmations.
- Establish and enforce treasury policies, internal controls, and approval processes.
- Monitor banking fees, loan covenants, and other financial obligations.
Budgeting & Financial Planning
- Lead preparation of annual budgets, long-term financial forecasts, and rolling cash flow projections.
- Ensure alignment of budget inputs from business units with actual operations.
- Monitor budget performance, analyze variances, and recommend corrective actions.
- Support strategic planning initiatives through scenario modeling, ROI analysis, and financial evaluation.
- Coordinate with Accounting to ensure accurate integration of budget data with financial reporting.
Credit & Collection Management
- Supervise customer credit assessment, approval, and monitoring of receivable accounts.
- Oversee collections operations to minimize overdue accounts and maintain healthy cash flow.
- Monitor accounts receivable aging and ensure timely follow-up on outstanding balances.
- Approve write-offs or adjustments within delegated limits.
- Coordinate with Accounting for reconciliation and reporting of receivables.
Financial Reporting & Analysis (Finance Perspective)
- Prepare and present management reports focusing on cash flow, liquidity, working capital, and key financial ratios.
- Analyze financial performance against budget and forecasts, highlighting risks and opportunities.
- Provide financial insights and recommendations to support business decisions.
- Coordinate with Accounting to ensure consistency in reporting and alignment of financial data.
Risk Management & Internal Controls
- Develop and enforce financial policies, procedures, and internal controls.
- Identify and mitigate financial risks including credit, liquidity, and market exposure.
- Review insurance coverage, banking risks, and compliance with contractual obligations.
- Support internal and external audits with finance-related documentation.
People Management & Development
- Supervise Finance Team sections: Treasury, Budget & Financial Planning, and Credit & Collections.
- Define clear performance objectives for team members aligned with company goals.
- Conduct performance evaluations, mentoring, coaching, and competency-based training.
- Address operational and personnel issues, including attendance, conduct, or performance concerns.
Coordination & Stakeholder Management
- Collaborate with Accounting to reconcile financial records and coordinate reporting.
- Engage with business units, management, and external partners on finance-related matters.
- Support management in evaluating funding needs, investment proposals, and strategic initiatives.
- Act as finance liaison during audits, providing supporting documents and explanations.
Continuous Learning & Other Duties
- Stay updated on financial regulations, treasury practices, credit policies, and corporate finance trends.
- Participate in professional development, training programs, and industry seminars.
- Perform other finance-related tasks as may be assigned.
Qualifications:
- Bachelor’s degree in Accounting, Finance Management or any related field. Units in MBA or graduate program in any of the undergraduate courses cited above will prove to be an advantage
- At least ten (10) years of working experience
- Knowledgeable in MS Office Suite especially MS Excel
- Detail oriented with excellent organizational skills
- Willing to be assigned in Makati City