Assistant Controller

Posted 4 days agoViewed
30000 - 36000 USD per year
PhilippinesFull-TimeIT Services
Company:Agent
Location:Philippines, CST
Languages:English
Seniority level:Manager, 5+ years
Experience:5+ years
Skills:
Project ManagementExcel VBAMicrosoft ExcelAccountingFinancial analysisBudgeting
Requirements:
Bachelor’s degree in Accounting, Finance, Business Administration, or related field Minimum 5+ years of progressive accounting experience Solid understanding of GAAP, financial reporting, and internal controls Experience with inter-company reconciliation and job costing Prior experience overseeing or mentoring accounting staff Experience managing multiple entities or lines of business is a plus Proficient in MS Excel, Outlook, and Word Accounts Payable/Receivable experience Experience with NetSuite, Sage, or other ERP systems Payroll processing experience Strong attention to detail and ability to manage multiple priorities Excellent analytical, organizational, and communication skills Experience with budgeting, forecasting, and financial analysis
Responsibilities:
Ensure accurate financial close and reporting across all business units Prepare and file state and federal tax returns Conduct tax planning and entity structure reviews Identify tax-saving opportunities Compile investment reports and communicate with investors Facilitate investment distribution payments Handle contract facilitation for new development projects Create annual operating budgets for each entity Prepare and evaluate new development/acquisition proformas Identify opportunities for revenue increase and expense reduction Prepare investment models for new projects Coordinate financing and information requests from banks and investors Evaluate institutional debt obligations Oversee bank account reconciliation Process state filings and business entity reports Facilitate 1099s and other tax-related documentation Manage credit card expense reconciliation Facilitate payroll Perform internal audits of accounts quarterly Complete operating agreements for new entities Oversee cash flow management Analyze return on equity invested and track investment performance Maintain monthly investment spreadsheets Conduct cost segregation studies
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