Linkedprime

Job Description

Treasury ManagementManage 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 PlanningLead 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 ManagementSupervise 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 ControlsDevelop 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 & DevelopmentSupervise 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 ManagementCollaborate 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 DutiesStay 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.Job RequirementsBachelors 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 advantageAt least ten (10) years of working experienceKnowledgeable in MS Office Suite especially MS ExcelDetail oriented with excellent organizational skillsWilling to be assigned in Makati City

Job Application Tips

  • Tailor your resume to highlight relevant experience for this position
  • Write a compelling cover letter that addresses the specific requirements
  • Research the company culture and values before applying
  • Prepare examples of your work that demonstrate your skills
  • Follow up on your application after a reasonable time period

You May Also Be Interested In