Welcome to Pioneer Square Brands, a dynamic and innovative company at the forefront of the consumer goods industry. Committed to delivering high-quality products, we take pride in our dedication to excellence, creativity, and customer satisfaction. With a diverse portfolio featuring renowned brands (Brenthaven, Gumdrop, and VAULT), our mobile technology accessories ensure our customers achieve successful technology deployments. Our team comprises passionate individuals united by a shared vision to shape the future of our industry. If you are seeking a challenging and rewarding position in a fast-paced environment where your ideas are highly valued, join us at Pioneer Square Brands and become an integral part of our exciting journey.
Our Core Purpose: We ensure technology works so that people can focus on what matters
Our Core Values:
- Genuine and Respectful
- Pride in Everything We Do
- Excellence through Innovation
- Obsessed with Customer Success
Pioneer Square Brands has a global footprint with office locations in High Point, North Carolina, and Manila, Philippines.
We are actively looking for highly motivated professionals with a positive attitude who desire to be part of our growing team.
Accounting Specialist
Location: Silver City, Pasig (Hybrid)
Key Responsibilities:
Accounts Payable (AP)
- Ensure expenses are coded to the correct GL account and budget
- Communicate with vendors regarding payments and payable inquiries
- Reconcile vendor statements to ensure completeness and accuracy of records
- Coordinate with the Director of Finance to ensure accruals are complete for month-end close
- Send out Credit Card Expense Reports; review GL coding, budget, and department accuracy; reconcile monthly
- Review expenses against budget and flag anything that looks off
General Ledger/ Month-End Close/ Audit Readiness
- Prepare month end reconciliations and journal entries
- Identify appropriate accounts for transactions
- Investigate and correct variances to ensure accurate reporting
- Gather backup and support for external audits
- Demonstrate strong familiarity with the chart of accounts and explain appropriate GL usage
- Prepare ad-hoc financial reports related to GL postings
- Work with external auditors by gathering required documents
Qualifications:
- Bachelor’s/College Degree in Finance, Accountancy, or related field
- 3–5 years of relevant experience in Accounts Payable and General Ledger
- Strong accounting foundation, analytical skills, and reliability
- Proficient in MS Excel (pivot tables, lookups, macros) and knowledgeable in MS Office, MS Access, MS Outlook, and MS PowerPoint
- Willingness to work on a hybrid set-up and on a night shift schedule in Silver City, Pasig City
Competencies:
- Attention to Detail & Accuracy – Ensures quality and precision in all financial entries and reconciliations. Enjoys digging into details
- Confidentiality & Integrity – Maintains strict confidentiality of sensitive financial and organizational data
- Communication Skills – Communicates effectively with vendors, internal team, and stakeholders, including North America–based partners. Speaks up with something looks off.
- Organization & Prioritization – Manages multiple tasks and deadlines efficiently. Keeps organized notes and follows a consistent process.
- Teamwork & Collaboration – Works well with individuals and groups at all organizational levels; able to work independently as needed
- Adaptability – Adjusts to shifting business needs and changing priorities
- Stress & Time Management – Performs effectively under pressure and meets deadlines
- Work Ethic – Demonstrates punctuality, neatness, and strong attendance habits. Takes ownership of their work and follows through
Success Factors:
- Accurate and complete financial entries with minimal rework
- Timely and clear communication with vendors and internal partners
- AP processing completed on schedule with clean coding and documented support
- Month end tasks delivered on time with reconciliations that are audit ready
- Well organized documentation that supports audit and compliance requirements
- Ability to spot coding or spending variances vs budget and prior year and raise issues early