Cash and Reconciliation Associate Manager

PM Consulting • quezon city, metro manila • Posted July 16, 2026

Position Overview

Key Responsibilities:

Cash Reconciliation and Operations

  • Oversee daily, periodic, and monthly reconciliation of multiple bank accounts and financial systems to ensure alignment with the general ledger.
  • Track and monitor cash inflows and outflows, including collections, payments, and fund transfers.
  • Investigate and resolve open reconciling items such as variances, missing entries, duplicate postings, and unidentified transactions.
  • Coordinate with Accounting, Treasury, AP, AR, and banking partners to resolve reconciliation issues.
  • Monitor aged reconciling items and escalate unresolved cases to management when necessary.

Cash Control and Compliance

  • Support the implementation of internal control measures for cash handling and reconciliation processes.
  • Ensure strict adherence to accounting policies, regulatory requirements, and internal procedures.
  • Identify operational ris...