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EMAPTA

Accountant | Hybrid | Makati | Day Shift | Weekends Off | Day 1 HMO

EMAPTA

Metro ManilaPosted 3 days agoJobStreet

Setup
Hybrid
Type
Full-time
Level
Mid-level
Salary
Not listed
Closes
Open

Skills mentioned

ExcelAccountingFinanceHRHospitalityLegalBankingCommunication
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About the role

Power Australian Renewable Energy Projects Through Multi-Entity Finance

Behind every major clean-energy development is a finance function that keeps investment, compliance, and performance on track. Join Emapta as an Accountant, managing multi-entity accounting, treasury, and reporting across Australian renewable projects. Gain high-value international exposure, influence smarter financial decisions, and build a long-term global career among Emapta's top 1% talent. Your Accounting Career Snapshot

  • Employment Type: Full-time
  • Shift: Day Shift (9:00 AM-6:00 PM NSW Time), Weekends OffWork Setup: Hybrid (3 days in office and 2 days at home), Makati
  • Exciting Perks Await! Day 1 HMO coverage with free dependent

Competitive Salary Package

Day Shift

Schedule

  • Hybrid work arrangement
  • Prime office location in Makati (Easy access to MRT stations, restaurants, and banks)
  • Fixed weekends off

Salary Advance Program through our banking partner (Eligibility and approval subject to bank assessment. Available to account holders with a minimum of 6 months company tenure.)Unlimited upskilling through Emapta Academy courses (Want to know more? Visit: https://emapta.com/training-calendar/)Free 24/7 access to our office gyms (Ortigas and Makati) with a free physical fitness trainer! Exclusive Emapta Lifestyle perks (hotel and restaurant discounts, and more!)Unlimited opportunities for employee referral incentives across the organization

Standard government and Emapta

benefits

  • Total of 20 annual leaves to be used at your own discretion (including 5 credits convertible to cash)
  • Fun engagement activities for employees
  • Mentorship and exposure to global leaders and teams
  • Career growth opportunities
  • Diverse and supportive work environment

The Qualifications We Seek

Professional Background

Bachelor's degree in Accounting, Finance, Commerce, or a related field3 to 5 years of post-qualification accounting experience (PQE) within a multi-entity corporate environment

  • System & Software Proficiency
  • Advanced proficiency in Xero, with hands-on experience managing multi-organization setups, bank rules, fixed assets, and tracking categories
  • Experience with Airwallex or a similar spend management platform, including reconciliation of corporate multi-currency cards and expense reimbursements
  • Advanced proficiency in Microsoft Excel, including Pivot
  • Tables, complex formulas such as XLOOKUP and INDEX/MATCH, and financial model navigation

Core Technical Competencies

  • Solid understanding of Australian accounting fundamentals, GST/BAS mechanisms, and multi-entity intercompany loan mechanics
  • Strong working knowledge of AASB 16 (Leases) journal mechanics and project WIP and cost reclassifications
  • Communication & Work Ethic
  • Exceptional written and verbal English communication skills, with confidence collaborating directly with senior finance stakeholders in Sydney
  • Strong attention to detail, sense of ownership, and proactive communication skills

Your Daily Tasks

  • Transactional Processing & Treasury Operations - 40%Accounts Payable & Approvals
  • Process vendor bills in Xero, match purchase orders, and manage approval workflows
  • Review aged payables and prepare payment batches and ABA files for Financial Controller sign-off
  • Credit Card & Expense Management
  • Administer corporate card expense reports and employee reimbursements in Airwallex
  • Reconcile Airwallex feeds and clearing accounts against Xero
  • Accounts Receivable & Billing
  • Generate and issue monthly Development Services fee invoices for project joint ventures
  • Issue monthly project expense reimbursement invoices to SPVs and joint ventures
  • Monitor debtor aging, send reminder notices, and follow up on outstanding accounts
  • Bank & Cash Reconciliation
  • Perform daily bank reconciliations across all operational, trust, and project bank accounts in Xero

Payroll Execution

  • Send payroll submission reminders and process fortnightly and monthly payroll runs in Xero Payroll
  • Generate ABA upload files and prepare superannuation clearing account reconciliations

Fixed Assets

  • Maintain the fixed asset register and record asset additions and disposals
  • Execute monthly depreciation runs in Xero
  • General Ledger Integrity & Month-End Close - 40%Balance Sheet Substantiation

Prepare month-end workpapers and reconcile all balance sheet accounts, including prepayments, accruals, security deposits, novated leases, clearing items, and suspense accounts

Lease Accounting - AASB 16 / ROUAMaintain Right-of-Use Asset (ROUA)

schedule

  • sPost monthly lease depreciation and interest expense journals
  • Reconcile lease liability ledgers
  • Project Cost Reclassifications & Accruals
  • Execute monthly project expense reclassification journals across operating expenses, contra-expenses, and COGS/development WIP for SPVs and joint ventures
  • Calculate and post monthly reimbursement revenue accruals
  • Intercompany & Trust Account Reconciliations
  • Maintain and reconcile multi-tier intercompany loan balances and trust distribution ledgers each month
  • Ensure zero-variance elimination across all entities

Provisions

  • Calculate and update employee entitlement provisions, including annual leave and long service leave
  • Management Reporting & Compliance Support - 20%Month-End Reporting
  • Perform monthly trial balance sanity checks and identify and resolve posting anomalies
  • Prepare draft monthly financial packs, including Profit & Loss, Balance Sheet, and Statement of Cash Flows, with budget-versus-actual variance analysis
  • Execute period-lock protocols across all Xero ledgers after month-end close
  • Statutory Compliance & Audit Support
  • Reconcile GST general ledger accounts against Xero Activity Statements
  • Prepare quarterly BAS working papers for external tax adviser review and lodgement
  • Prepare PBC audit workpapers, lead

schedule

  • s, and transactional sample documentation for year-end audit and GPFS preparation
  • Provide underlying ledger support for PAYG, FBT, and ASIC annual reporting

About the Client

Our client is an Australian renewable energy developer delivering large-scale wind, solar, and battery storage projects that support Australia's clean-energy transition. They partner with landowners, regional communities, governments, technical advisers, and energy leaders to develop reliable renewable infrastructure. Their expertise spans project development, design and contracting, capital raising, financial modelling, and market strategy. With experience across Australia and international renewable projects, they combine commercial expertise with community co-design to create lasting economic, social, and environmental value while expanding access to affordable, reliable energy. Join the Top 1% Talent. A better career. A better life. Welcome to Emapta Philippines: home to professionals who choose growth, balance, and impact. Recognized as one of HR Asia's Best Companies to Work For in Asia 2025 and winner of Inspiring Workplaces Australasia 2026, Emapta offers more than opportunities -- it provides a career environment where people thrive. Collaborate with global teams, build meaningful expertise, and grow in a culture that prioritizes both performance and well-being. Apply now and experience the difference!

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