Sobre este puesto de Aprio PH - Accounting Manager, E-Commerce en Aprio
The Accounting Manager serves as the primary operational accounting authority and supervisor for a portfolio of U.S.-based clients, delivering financial oversight within an outsourced environment. This role is responsible for the accuracy of client financial reporting, execution of internal controls, and daily management of accounting workflows.
Acting as a collaborator to internal U.S. client leads, the Accounting Manager reviews financial data, implements process efficiencies, and trains the accounting team to meet client expectations.
Position Responsibilities:
Close Cycle Execution & Workflow Management
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Fully Reconciled Financial Delivery: Oversees the preparation, performs a meticulous review, and ensures a timely delivery of monthly, quarterly, and annual financial statements, including consolidated, multi-entity, and multi-department reporting, in compliance with US GAAP or accrual accounting standards.
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Close Workbook Ownership: Enforces a workflow where all baseline team production is thoroughly taught, detail-reviewed, and validated by the manager. Delivers a completely reconciled, finalized close package to U.S. client leads that requires only a high-level, 15-to-30-minute final review.
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Transactional Oversight: Supervises daily core accounting functions executed by the team, including general ledger maintenance, accounts payable, accounts receivable, and billing cycles.
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Data Integrity: Manages chart of accounts structures, accounting treatments, and system configurations; resolves processing errors and manages systemic troubleshooting.
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Agile Optimization: Owns the authority to implement localized workflow adjustments and daily automation to drive team efficiency; collaborates with senior leadership for input on major platform changes or large process redesigns.
Team Leadership & Technical Training
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Primary Technical Resource: Serves as the definitive technical accounting authority for the immediate team; commits to ongoing learning of US GAAP and tech tools to actively teach, mentor, and upskill team members.
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Accountability & Feedback: Sets clear performance expectations, monitors staff resource allocation, and provides regular performance coaching to maintain delivery standards.
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Capacity Alignment: Partners with internal U.S. client leads to manage project progression, staffing capacity, and team performance metrics.
Compliance, Portfolio & Advisory Support
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Controls & Compliance: Implements internal control frameworks, reviews control effectiveness, executes remediation plans, and manages the year-end U.S. 1099 compliance and filing process.
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Financial Summaries: Translates complex financial results into clear narratives highlighting cash flow trends and working capital metrics to advise internal U.S. client leads and client stakeholders.
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Scope & Retention Management: Aligns baseline financial infrastructure to support growing client businesses; tracks deliverables against contractual commitments to identify scope creep and protect client retention.