Job Description
Want to look for a career? This is the right opportunity for you. A direct hire for a financial technology company that processes payments and offers services to merchants, consumers, and issuers.
RESPONSIBILITIES:
You will:
- Develops, implements and/or maintains one or more accounting systems: Journal entries, General Ledger, Accounts Receivables, Accounts Payable, Revenue Reconciliation, etc.
- Reviews and interprets financial reporting requirements, rules and regulations.
- Balances books and prepares profit and loss, cash flow, income and balance sheet statements.
- Monitors and develops monthly reports of revenues and expenditures for projects.
- Provides record of assets, liabilities and other financial transactions.
- Reviews, tracks and maintains billing information in the financial systems, ensuring accuracy and compliance with US GAAP and other accounting regulations.
- Apply solid knowledge in accounting processes and controls to be able to perform detailed review of daily accounting transactions.
- Keen to ensure that all transactions are valid and accurate with complete supporting documents.
- Implement a system of internal controls over accounting processes to ensure the reliability of the financial statements.
- Effectively utilize systems and tools used in all accounting processes such as Ariba, Oracle Fusion, Certify, other related applications.
- Demonstrate strong understanding and ensure implementation of the Company’s accounting policies and procedures
- Work within the team and engage stakeholders to resolve operational issues.
- Prepare analyses, reconciliations, and reports that may be required from time to time based on accounts payable data.
- Responsible for processing payments of certain groups of approved invoices and working with the Treasury team.
- Process fixed assets transactions recording from time to time.
- Understand and review accounting entries passing through accounts payable that impacts other processes such as fixed assets, prepayments, leases, and intercompany.
- Understand system interfaces and how all transactions flow into the general ledger.
- Maintain complete and organized files of accounting records for audit trail and easy retrieval
- Prepare various journal entries based on assigned transactions at each month-end close.
- Ensure that all month-end activities are performed and completed accurately and in a timely manner according to the global closing timelines.
- Prepare various reports as may be needed by stakeholders – such as Finance, Tax, and Business Accounting
- Prepare analyses, reconciliations, and reports that may be required from time to time.
- Support internal and external audit requirements and documentations.
- Collaborate with various team members to assist on process, workflow, and control documentations, including flow charts.
- Support process reviews and efficiency efforts as may be assigned by managers.
- Provide support to projects as may be assigned by managers.
QUALIFICATIONS:
- Graduate of Bachelor of Science in Accountancy from a reputable college or university.
- Minimum of (5) years combined work experience in accounts payable, general accounting, and/or audit.
- Skilled in using any accounting software/application; Proficient in MS Excel
- Fluent in English - as used in effective verbal and written communications.
-
Willing to work onsite in Vertis North, Quezon City
-
Can start immediately
Shift Schedule: Mid shift
Location: Vertis North, Quezon City