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Regional Finance Controller/Manager - Philippines

Makati, Philippines

ABOUT LOMOGRAPHY

At Lomography, we’re not just another company – we’re a globally active organization dedicated to experimental and creative analogue photography. What started as an arts movement by a group of offbeat students in 1992 has evolved into an international company fuelled by passion and curiosity. We develop, market and distribute our products worldwide, reaching millions of photography enthusiasts through our photo stores, design stores, museums, online platforms, and events.

Job Description:

We are currently seeking a skilled Regional Finance Manager to oversee our financial and administrational operations in the Philippines and provide support to our regional finance and administration activities across Asia. The successful candidate will be responsible for managing accounting functions and administrational topics, supporting financial controlling activities, managing cash flows, communicating effectively with our Asia stations and headquarters in Austria and ensuring accurate and timely reporting. This role offers an exciting opportunity for a dynamic individual to make a significant impact within a multinational organization.

Key Responsibilities:

  • Manage accounting issues for the company's operations in Manila, Philippines.
  • Support regional finance controlling activities in Asia, including countries such as Hong Kong, Japan, Taiwan, China, etc.
  • Oversee and handle administrational topics related to the subsidiaries in Asia in coordination with local F&A staff and CPAs
  • Monitor and manage cash flows to ensure optimal financial performance.
  • Maintain regular communication with headquarters in Austria to provide updates, seek guidance, and address any financial concerns.
  • Prepare and analyze various financial reports, including sales reports, expenses analysis reports and other key metrics.
  • Implement cost control measures to optimize operational efficiency and profitability.
  • Develop and implement financial policies and procedures to ensure compliance with local regulations and company standards.
  • Oversee preparation of financial statements, ensuring accuracy and completeness.
  • Provide financial analysis and recommendations to support strategic decision-making and business growth initiatives.
  • Collaborate with cross-functional teams to streamline processes, improve efficiency, and enhance financial performance.
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