
Specialist II Record to Report
- Mandaluyong City, Metro Manila
- Permanent
- Full-time
- Perform bank reconciliation and month-end financial activities.
- Validate the accuracy of data, verify discrepancies, and resolve reconciling transactions.
- Perform balance sheet account reconciliation, analyze the account details to validate the correctness of the balance, and reconcile with other system modules.
- Collaborate closely and connect with various partners for critical deliverables.
- Check for completeness and validate the compliance of reports.
- Prepare and post Journal entries; troubleshoot and resolve disputes encountered on entries.
- To prepare and provide supporting documents for audit requirements.
- Perform Fixed Assets Accounting, assist in preparing ad hoc reports, and perform other tasks as assigned.
- Bachelor's degree in Accountancy or Accounting-related courses.
- At least 3 years of relevant experience in general accounting, majority of which should be in General Ledger performing bank reconciliation, balance sheet reconciliation, fixed assets, and audit support.
- Solid understanding of internal control and Generally Accepted Accounting Principles (GAAP).
- Proficiency in Enterprise Resource Planning (ERP) applications, including Oracle and SAP.
- Proficiency in Microsoft Office applications such as Excel, Word, and PowerPoint.