Finance and Accounting Manager
Work Arrangement / Work Shift: Remote | 10AM to 7PM EST
Role Overview:
The Finance & Accounting Manager will serve as the internal owner of day-to-day Finance & Accounting operations for the U.S.-based business, sitting at the center of the company's financial infrastructure. This hands-on role involves partnering closely with the Founder & CEO, CFO consultant, outsourced accounting partner, and cross-functional leaders to ensure accurate books, reliable reporting, disciplined cash management, strong financial controls, and clear visibility into business performance. The manager will drive the monthly close process internally, hold external accounting partners accountable, maintain financial reporting and forecasting, support budgeting and FP&A, and ensure the accuracy of inventory, COGS, and financial data.
What You’ll Be Doing:
Monthly Close + Accounting Oversight
Serve as the primary internal point of accountability for the monthly accounting close
Manage the close calendar and ensure all internal and external contributors complete required deliverables against agreed timelines
Coordinate closely with the company's outsourced accounting partner and actively follow up on incomplete, late or inaccurate work
Review balance sheet reconciliations, journal entries, accruals, prepaid expenses, expense classifications and supporting schedules
Maintain visibility into all open accounting items and drive issues through resolution
Ensure bank, credit card, AP, AR, revenue, inventory and other material accounts are appropriately reconciled
Review financial statements for completeness, accuracy and consistency before CFO / CEO review
Ensure transactions are recorded consistently in accordance with U.S. GAAP and the company's policies
Maintain appropriate financial documentation and internal controls
Financial Reporting + CEO Visibility
Prepare monthly management reporting package for CFO and CEO review, including:
P&L
Balance Sheet
Cash Flow Statement
Cash balance
Budget/forecast vs. actual
Revenue and gross margin
Departmental spending
Inventory value
Inventory levels and weeks of supply
Working capital
Key D2C and financial KPIs
Prepare clear variance analyses identifying what changed, why it changed and where further investigation or action is required
Maintain executive financial dashboards and recurring management reporting
Ensure financial information is delivered against established monthly reporting timelines
Partner with the CFO consultant to translate financial results into actionable business insights for leadership
Cash Flow + Capital Planning
Maintain an accurate rolling 13-week cash flow forecast
Maintain current visibility into cash balances, outstanding AP and committed / upcoming cash requirements
Update cash forecasts regularly based on actual business performance and changing operating plans
Monitor inventory purchases, production deposits, freight, marketing spend, payroll, contractors and other material cash commitments
Identify potential liquidity risks sufficiently ahead of need
Partner with the CFO consultant to forecast founder / shareholder capital requirements and longer-term cash needs
Maintain scenario analyses around revenue, spending and working-capital assumptions
Inventory, COGS + Gross Margin
Partner closely with Supply Chain & Operations to ensure accurate product-level COGS and inventory reporting
Maintain and analyze fully landed product costs, including manufacturing, packaging/components, freight, duties and other applicable landed-cost components
Reconcile inventory across NetSuite, warehouse/3PL records and financial statements
Monitor inventory balances, receipts, movements, samples, promotional usage, write-offs and adjustments
Monitor inventory value, turns and weeks of supply
Investigate and resolve discrepancies in product costs, inventory valuation and COGS
Partner with Product Development and Supply Chain to evaluate cost changes and margin implications
Maintain accurate gross-margin reporting and identify opportunities to improve product economics
FP&A + Budget Management
Partner with the CFO consultant to develop and maintain the company's annual operating budget and financial forecasts
Maintain monthly departmental budgets and spending visibility
Prepare actual vs. budget / forecast analyses
Maintain rolling forecasts reflecting changes in sales, inventory, hiring, marketing spend and operating expenses
Support scenario and sensitivity analyses
Support financial evaluation of new hires, vendor engagements, product launches, marketing investments and other business initiatives
Help functional leaders understand budgets, spending and financial tradeoffs
Support the development and maintenance of the company's divisional / departmental and GL-level financial reporting structure
D2C + Business Performance Analysis
Partner with Growth and the CFO consultant to maintain the company's D2C P&L and financial model
Monitor D2C economics including:
Net sales
AOV
Gross margin
Contribution margin
CAC
MER
Returns / refunds
Shipping and fulfillment costs
Payment processing fees
Support product-, channel- and promotion-level profitability analysis
Maintain financial guardrails that help inform marketing and Growth investment decisions
AP, Vendor + Expense Management
Support invoice review, coding, approval and payment workflows
Maintain visibility into outstanding invoices, deposits, payment schedules and committed spend
Ensure vendor expenses are recorded accurately against appropriate departments and GL accounts
Monitor recurring expenses and material vendor commitments
Support financial review of major vendor agreements and proposals
Identify unusual, duplicate or inconsistent expenses and escalate appropriately
Systems, Controls + Process Improvement
Help establish and maintain scalable Finance & Accounting processes appropriate for a growing company
Maintain financial reporting calendars, templates, trackers and documentation
Support accurate financial configuration and data integrity within NetSuite and connected systems
Identify opportunities to automate manual financial processes
Establish and maintain appropriate approval workflows, segregation of duties and financial controls
Document recurring Finance & Accounting processes to create continuity and accountability
Partner with the CFO consultant to implement the company's 2027 Chart of Accounts, divisional structure and management reporting architecture
What You’ll Need:
Bachelor’s degree in Accounting, Finance, Economics, Business, or a related field.
At least 5 years of professional experience in FP&A, corporate finance, accounting, or a closely related role.
Prior FP&A or corporate finance experience supporting U.S.-based companies is required.
Strong understanding of U.S. GAAP and the primary financial statements.
Demonstrated experience managing budgets, forecasts, variance analyses, and financial models.
Experience reviewing financial statements and supporting the monthly accounting close.
Advanced Microsoft Excel and Google Sheets skills.
Strong financial modeling and analytical capabilities.
Excellent written and verbal English communication skills.
Ability to work effectively with U.S.-based stakeholders and maintain meaningful overlap with U.S. Eastern Time business hours.
How You Work:
The successful candidate must be equally comfortable reviewing a balance sheet reconciliation, investigating an incorrect product cost in NetSuite, updating a 13-week cash forecast, preparing a management reporting package, following up with an outsourced bookkeeper, and analyzing why actual performance differed from plan.
About Atticus:
Atticus Advisory Solutions Inc. is a specialized remote staffing and IT offshoring firm based in the Philippines, providing vetted, high-quality Filipino talent to global tech startups, SMEs, and consulting firms, focusing heavily on niche areas like ERP (NetSuite), Accounting and Finance and IT, offering integrated recruiting, upskilling, and HR support to ensure high retention and reliable offshore teams.
Atticus provides a comprehensive solution for international companies to build dedicated, outsourced teams and efficiently scale their technical and administrative capabilities by leveraging skilled Filipino talent, managed with a focus on quality and long-term retention. We ensure the teams perform like extensions of the client’s own operations.
Who We Are:
We are a customer-focused organization that puts people at the heart of everything we do. We believe great outcomes come from strong collaboration, where ideas are openly shared and teamwork is valued.
Our team members are proactive and confident—they take ownership, speak up, and are not afraid to ask questions. We encourage curiosity and continuous improvement, empowering everyone to challenge the status quo and find better ways of working.
We foster a growth mindset, where learning is continuous, feedback is welcomed, and mistakes are seen as opportunities to grow. Here, you are supported to develop your skills, improve processes, and make a meaningful impact.
Why Join Us:
At Atticus Advisory Solutions Inc, we value our employees and provide a positive and collaborative work environment. We offer competitive compensation, benefits, annual leaves, health and medical insurances. Our culture offers flexible working arrangement and opportunities for growth and development.
- Locations
- Philippines
- Remote status
- Fully Remote