Accountant at Teamified
Quezon City, Metro Manila, Philippines -
Full Time


Start Date

Immediate

Expiry Date

21 May, 26

Salary

0.0

Posted On

20 Feb, 26

Experience

5 year(s) or above

Remote Job

Yes

Telecommute

Yes

Sponsor Visa

No

Skills

Financial Reporting, Financial Analysis, Month-End Reporting, Balance Sheet Reconciliations, Management Accounts, Profit And Loss Review, Regulatory Compliance, Budgeting, Forecasting, Audit Support, Commercial Support, Excel, Communication, Process Improvements, Organisational Skills, Time Management

Industry

Outsourcing and Offshoring Consulting

Description
About our Client: Australia’s largest independent electrical wholesaler Our client is Australia’s leading independent electrical wholesaler. Proudly 100% Australian, family-owned, and independent since 1928, our client has built a strong reputation for reliability, quality products, and exceptional customer service across the electrical industry. About Teamified Teamified is a talent partner helping companies build exceptional remote teams across IT, software, product, and digital innovation. We collaborate with leading enterprises and fast-scaling tech businesses worldwide to help them access world class talent and accelerate growth. With operations across the globe our mission is to make building high performing global teams simple, fast, and cost-effective. Teamified has hundreds of clients with more than 200 engineers, testers, product managers, designers, and technology experts delivering impactful solutions every day About the Role: We are seeking a commercially minded and detail-oriented Accountant to join our client’s finance team. This role plays a key part in month-end reporting, financial analysis, and supporting the broader business with actionable financial insights. The successful candidate will combine strong technical accounting skills with the ability to provide commercial support across branch and regional operations. Key Responsibilities Financial Reporting & Analysis (Full Responsibility) Prepare and post monthly journal entries Lead and support month-end processes and review month-end reporting deliverables (including management accounts and balance sheet reconciliations) Prepare monthly balance sheet reconciliations Conduct financial analysis across branches and regions to support month-end results Review branch Profit & Loss reports and assist in monthly financial reporting Analyse financial data and provide recommendations to the Finance Manager to support business understanding of transactions and results Management Accounting (Supportive) Compile management accounts and highlight variances Provide commentary and financial insights to management where required Monitor and analyse branch operational costs, identify variances, and support corrective actions Regulatory Compliance (Supportive) Apply accounting standards, financial regulations, and corporate governance principles Maintain working knowledge of relevant compliance requirements Support relationships with external auditors, tax advisors, and financial institutions Budgeting & Forecasting (Supportive) Assist in the preparation of budgets and financial forecasts Support variance analysis and performance tracking against budget Audit Support (Supportive) Prepare audit workpapers Provide documentation and support for internal and external audits Commercial Support & Coordination Build strong working relationships with branch teams and internal stakeholders Provide actionable financial insights to support decision-making Communicate financial information clearly to non-financial stakeholders Qualifications and Experience Tertiary qualification in Accounting, Finance, or related discipline CA or CPA qualified Experience leading month-end processes and reviewing reporting deliverables Strong commercial acumen with the ability to drive business outcomes Advanced Excel skills (financial modelling, pivot tables, complex formulas) Strong written and verbal communication skills, including report preparation Experience identifying and implementing process improvements Willingness to take a hands-on, practical approach at an operational level Highly Desirable Excellent organisational skills Strong time management skills High attention to detail Flexibility in work hours and location, with a focus on managing energy rather than time. Access to online learning platforms and a budget for professional development A collaborative, no-silos environment, encouraging learning and growth across teams A dynamic social culture with team lunches, social events, and opportunities for creative input Health insurance Leave Benefits Provident Fund HMO 13th Month
Responsibilities
The Accountant will take full responsibility for financial reporting and analysis, including preparing journal entries and leading month-end processes, while also supporting management accounting functions. Key duties involve reviewing branch P&L reports, conducting financial analysis across regions, and providing actionable insights to the Finance Manager.
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