Duty 1: Reporting and Reconciliation
Bank Reconciliation
Reco
nciles the bank and book transaction balance by verifying discrepancies, resolving disputes, formulating alternative solutions on issues encountered. Analyzes and Classifies the reco
nciling items ba
sed on the nature of the transactio
nDrives implementation of recommended solution to the site POC, Credit Controller, Regio
nal accountants and Payments team co
ntact for reco
nciling items. (in transit, wrong payment to vendor, approval on adjusting entries from AP)Prepares and post the journal entry related to the identified reco
nciling items (bank charges, forex difference, cash pool transactions)Communicates with Site POC, Regio
nal Accountants and Accounts payable co
ntact any reco
nciling item in the bank reco
nciliationEscalates resolution of outstanding reco
nciling items ba
sed on escalation matrix if no respo
nses on the POC is receivedSecures commitment on critical deliverables from different stakeholders such as customers, site finance heads and approver for issuance of credit/debit note to offset, approval of variance to pay, etc.
Balance Sheet Reconciliation
Analysis of the account details to validate correctness of the balance and reco
nciles with other Oracle modulesRecommends adjustment to the Site affecting profit and loss and instructs them to restate balance sheetSends to RA and Co
ntrollers for reviewUpload and certify details of Balance Sheet Schedules in Blackline. Approve Balance Sheet Schedules in BlacklineIdentifies and provides recommendations on needs and opportunities on the preparation of Balance Sheet Schedules by transforming business needs to actio
nable process improvement or innovation initiative
Audit
Prepares and provide audit requirements to the site and auditorsRespond to queries of the auditors related to accounts under auditLiaise between the auditor and Site point of co
ntact as required for early completion of the fieldworkPropose adjustment on audit findings affecting Profit and Loss and Balance SheetImplements corrective action to avoid recurrence of audit observation
Duty 2: Settlement of Accounts Receivable Employee Balances
Chases for the payment of balances on the AR employee account by sending mo
nthly Statement of Account to the employee and HR of the balances for deductio
nValidates and Resolves minor disputes (ex. Incorrect charging to employee account or invoices from vendors), by recommending corrective actions to the appropriate site POCsFollow through resolution and deduction of the employee balancesEscalates to the next level manager non-respo
nsive co
ntact on the resolution of balances
Duty 3: Fixed Assets
Adds the asset to the Fixed asset register and performs depreciation runPerforms Fixed Asset (including CIP) reco
nciliation to determine the Assets for Addition (verify invoice match detail accuracy, supporting docs, validate date in use, GL and FA module, etc.).Analyses the fixed asset clearing account to validate assets for additions.Investigates and collates the required information (Appropriation request, asset details) before capitalizatio
nDrives implementation of recommended solution to the proper persons (Accounts payable, Business unit co
ntrollers or site POC) for items with incomplete details, or items not for asset additio
nPerforms adjustments to the fixed asset register (transfers, reclassifications and retirements)Reviews, clarifies and e
valuates information provided by the site POC (for transfers, reclassifications and retirements) to ensure that the action performed will achieve the desired result. Drives actions to the proper persons (Business unit co
ntrollers or site POC) for items over the Appropriation request budgetReco
nciles the Fixed asset ledger balance with the General ledger balance and resolves differences by verifying discrepancies, resolving disputes, formulating alternative solutions on issues encountered. Analyses and Classifies the unposted items ba
sed on the nature of the transaction.Prepares and analyse mo
nthly spend report for fixed assets by comparing budget allocated versus capitalized fixed asset
Duty 4: Month-end Activities
Prepaid Amortization
Reco
nciles oracle against scheduleInvestigate and Collate details/information required to amortize the balanceRecommends adjustment to the Site affecting profit and loss and instructs them to restate balance sheet
Accruals
Prepare schedule by downloading details and summary of balances, and Reco
ncile against Oracle by matching details against trial balanceAnalyses recorded invoices to determine correctness and validity of the as-of balance and verify if additio
nal recognition is required by co
nsidering the details of the period to date transactions via AP module or General Ledger inquiryRecommends adjustment to the Site affecting profit and loss and instructs them to restate balance sheet
Revaluation
Verify reaso
nableness of the re
valuation result through comparison with prior period resultsSends the file to the Local and Site POC
Accounts Receivable Trade Recon
Reco
nciles the Accounts Receivable Trade balances in General Ledger (GL) against the Subsidiary Ledger (SL) and analyses difference through investigation of manual journal or non-AR related posted in the GLProvides resolution and adjustment on the identified difference
Balance Sheet and Profit and Loss Allocation
Maintains tracker and databa
ses to ensure that all transactions are recorded and verifies with the counterparts for further entriesRun the auto allocation process and check the balancesInvestigates unallocated balances using comparative analysis Countercheck balances upon posting of the manual allocatio
nProvide go signal to the Site/RA to proceed with their Financial uploadRaise to Oracle team to set-up allocation for accounts that has no auto allocation set-upInitiate process improvement and innovation projects to improve quality of output and reduce turn-around time
Journal Posting
Prepares Journal Adjustments, Uploading and Posting to Oracle
Duty 5: Training and Development
Co
nducts refresher trainingsAssists in creating a training plan of new hiresProvides work instruction and guidance to junior employees when neededMaps processes as part of the procedure docu
mentation to facilitate training of new team member
Minimum Requirements
Education:
Bachelor's Degree in Accountancy or any Accounting related degree
Job Related Experience:
At least 3 years work experience in general accounting, bank reconciliation, fixed assets, cash receipts, application, Intercompany transactions and credit collection.
Specific Knowledge:
Proficient in MS Office applications with background in MS Outlook.
Proficient in using ERP applications
Knowledgeable in Internal control
Knowledgeable with GAAP
Skills:
English Communication skills (oral & written)
Analytical skills
Attention to detail skills
Organizing and planning skills
Interpersonal skills
Presentation skills
Problem solving skills
Transition/Training specialist
Business Understanding:
Experience in working for a Shared Service or BPO set up
Are you ready to join a purpose-driven, global technology, software and engineering company?A career — and future — at Emerson is grounded in and centered around our Purpose: We drive innovation that makes the world healthier, safer, smarter and more sustainable. Headquartered in St. Louis, MO with 170 locations and 86,700+ employees worldwide, Emerson is a universal brand that serves local communities across the globe. With a 130+ year history, we take pride in our past, but remain focused on our future.In the Philippines, Emerson plays a strategic role in supporting global and regional functions for the company and its customers in the fields of accounting, analytics, customer support, engineering, finance, information technology, human resources, marketing and business development, and supply chain management.Our Automation Solutions business helps process, hybrid, and discrete manufacturers maximize production, protect personnel and the environment while optimizing their energy and operating costs.Our Commercial & Residential Solutions business helps ensure human comfort and health, protect food quality and safety, advance energy efficiency and create sustainable infrastructure.Living Our Purpose as One EmersonEvery day, our global workforce fulfills our unified Purpose and lives out the Values we hold close as an organization: Integrity, Safety & Quality, Support Our People, Customer Focus, Continuous Improvement, Collaboration, and Innovation.Our Causes – Planet, Humanity, Champion, Inclusion and Future – shape, define and fuel Emerson’s culture while inspiring our innovative spirit and driving our focus.Learn more: https://www.emerson.com/en-us/about-us/living-our-purposeAwards & RecognitionEmerson is ranked among the leading companies in the United States and across the globe – but don’t just take our word for it.2022 Linkedin Top Companies in the PhilippinesDec 2021 to Dec 2022 Great Place to Work Certified™ 2021 GradPhilippines Top 100 Graduate Employers2022 Human Rights Campaign Foundation Best Places to Work for LGBTQ+ Equality2021 Women Engineer Magazine Top 50 Employers2020 Forbes Best Employers for DiversityLearn more: https://www.emerson.com/en-us/about-us/awards-recognitionBenefits at EmersonThrough our benefits, development opportunities, and an inclusive work environment, we aim to create an organization our people are proud to represent.• Competitive Wages and Benefits – We provide employees with market-competitive pay and benefits package.Allowance: food, transportation, clothingNight DifferentialLife InsurancePersonal Accident InsuranceRetirement BenefitPerfect Attendance IncentiveGuaranteed Midyear Pay• Career Development Opportunities – We help team members reach their highest potential with learning programs.• Healthcare – We offer quality healthcare coverage (medical and dental) for our team members.• Paid Leaves – Vacation, Sick, Parental, Bereavement• Tuition Reimbursement for Approved Programs – We support opportunities for employees to advance their education.• Safe Working Environment – Safety is a top priority across our global network and workplace.• Well-Being Programs – Well-Being Days, Counseling Service for team members and their family, Fund Assistance• Blended Work Benefits – Work from Home Allowance, Internet Subsidy, Workstation Set-up ReimbursementWhether you’re an established professional looking for a career change, an undergraduate student exploring possibilities, or recently received your master’s degree, you’ll find opportunities with us.Join our team and start your journey today!Visit our career site: emerson.com/en-ph/careers