Officer (Vessel Accounting) - Manila at Fleet Management
Philippines, , Philippines -
Full Time


Start Date

Immediate

Expiry Date

18 Jul, 25

Salary

0.0

Posted On

18 Apr, 25

Experience

3 year(s) or above

Remote Job

Yes

Telecommute

Yes

Sponsor Visa

No

Skills

Preparation, Finance, Outlook, Color, Discrimination, Excel, Oracle, Sap

Industry

Accounting

Description

OFFICER (VESSEL ACCOUNTING) - MANILA

Date: 17 Apr 2025
Location: Philippines
Company: Fleet Management Training Institute Philippines In
Our 30-year journey rides on the passion of over 27,000 seafarers and 1,200 onshore professionals. Today, we are one of the largest independent third-party ship management companies managing over 650+ diverse types of vessels.
Headquartered in Hong Kong SAR, China, we operate on a global scale having 27 offices in 12 countries. Our client base spans over 100 world-class ship owners, including Fortune 500 companies from China, Greece, India, Japan, Korea, Netherlands, Norway, Turkey and the USA, among others.
In a shore career at FLEET, you will be working with a team of a highly passionate, self-driven and committed group of people. We aim to be a place where you can achieve your full potential, regardless of your background. We are looking for individuals who are ambitious about making a strong contribution to FLEET’s short and long-term sustainable growth – whether you are dealing directly with clients or working in a role supporting the business, such as technology, legal or communications.
Job Position Summary
Primary function of this job is to maintain proper accounting records for a portfolio of vessels and manage the relationship with the Ship Owner regarding vessel accounting matters.

Key Roles and Responsibilities

  • Wholly responsible for day-to-day accounting for portfolio of vessels, which includes various activities like raising the fund requests, checking vendor invoices from accounting aspect, review portage bill, prepare month-end adjustment entries, etc. Vessel Account Officer handles vessels with moderate complexity on requirements and reporting.
  • Maintain close and effective communication with Clients to understand and meet their requirements in terms of financial reporting for the vessels
  • Prepare monthly vessel financial reports, cash flow statements, budget variance reports, etc. and submit to the Technical departments within given timeframe.
  • Perform Balance Sheet Account/Fund Balance Reconciliation.
  • Submit the finalized vessel financial reports to the Ship owners on time, responding to their Ship owners’ queries, ensure all reporting requirements are thoroughly met, etc.
  • Assist the reporting manager in regular monthly MS reporting activities like Report to MD, Budget Variance Report, etc. from time to time. Ensure timely submission on reports and responses externally with clients and internally with other departments
  • Any other ad-hoc reporting work assigned by the reporting manager.

JOB EXPERIENCE, FUNCTIONAL KNOWLEDGE AND QUALIFICATIONS:

  • Degree in Accounting & Finance or related fields
  • 3+ years of experience in core accounting and preparation of financial reports, prior experience in Shipping Industry is a plus, but not required
  • Solid knowledge of Financial Reports, Cash Flow Reports, Budget V/s Actual Reports, etc.
  • Working knowledge of ERP like Oracle, SAP, etc. is preferred
  • Experience user of Microsoft Suite like Outlook, Excel, Word, etc.
  • Good command of written and spoken English
    Fleet Management Limited is committed to diversity, equity and inclusion in the workplace. We prohibit discrimination and harassment of any kind based on race, color, sex, religion, sexual orientation, national origin, disability, genetic information, pregnancy, or any other protected characteristic as outlined by local laws.
Responsibilities
  • Wholly responsible for day-to-day accounting for portfolio of vessels, which includes various activities like raising the fund requests, checking vendor invoices from accounting aspect, review portage bill, prepare month-end adjustment entries, etc. Vessel Account Officer handles vessels with moderate complexity on requirements and reporting.
  • Maintain close and effective communication with Clients to understand and meet their requirements in terms of financial reporting for the vessels
  • Prepare monthly vessel financial reports, cash flow statements, budget variance reports, etc. and submit to the Technical departments within given timeframe.
  • Perform Balance Sheet Account/Fund Balance Reconciliation.
  • Submit the finalized vessel financial reports to the Ship owners on time, responding to their Ship owners’ queries, ensure all reporting requirements are thoroughly met, etc.
  • Assist the reporting manager in regular monthly MS reporting activities like Report to MD, Budget Variance Report, etc. from time to time. Ensure timely submission on reports and responses externally with clients and internally with other departments
  • Any other ad-hoc reporting work assigned by the reporting manager
Loading...