Finance Manager

New
H
Hire OverseasService-based, Hospitality, Real Estate
Philippines. Argentina. South Africa. Brazil. Colombia. NigeriaFull-TimeManager
Salary not disclosed
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Job Details

Experience
5+ years
Required Skills
Microsoft ExcelNetSuiteQuickBooks

Requirements

  • 5+ years of experience in finance management, FP&A, or a senior accounting role
  • Experience in service-based, hospitality, or operationally complex organizations
  • Advanced Excel proficiency including financial modeling, multi-tab reporting structures, and variance analysis
  • Hands-on experience with accounting or financial management platforms such as QuickBooks, NetSuite, Sage, or similar
  • Strong understanding of three-statement financial reporting
  • Experience building financial systems or reporting infrastructure from scratch
  • Ability to translate operational data into executive-level insights
  • Strong written and verbal communication skills
  • Comfort presenting to senior leadership or board-level stakeholders

Responsibilities

  • Build and formalize a structured monthly reporting package including full financial statements and department-level Budget versus Actual reports
  • Partner with department leaders to extract operational data and standardize reporting workflows
  • Develop scenario models to guide pricing, revenue, and program decisions
  • Provide board-ready financial presentations and insights
  • Manage multi-year capital expenditure budgets
  • Oversee project-level cash flow tracking and variance analysis
  • Review vendor contracts and monitor milestone-based spending
  • Maintain a rolling 13-week cash flow forecast to ensure liquidity planning
  • Maintain audit-ready financial records and oversee tax compliance coordination
  • Monitor loan covenant compliance and lender reporting requirements
  • Serve as the internal systems lead for accounting and financial management platforms, owning modules including A/P, A/R, billing, fixed asset schedules, and financial reporting
  • Improve data integrity across POS and accounting systems
  • Identify and automate manual reconciliation processes using reporting tools and Excel-based workflows
  • Lead annual insurance renewal processes
  • Partner with brokers to evaluate coverage and cost impact
  • Analyze premium shifts and their effect on the operating budget
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