Specialist II Record to Report at Emerson autotmotive
Mandaluyong, National Capital District, Philippines -
Full Time


Start Date

Immediate

Expiry Date

21 Jan, 26

Salary

0.0

Posted On

23 Oct, 25

Experience

2 year(s) or above

Remote Job

Yes

Telecommute

Yes

Sponsor Visa

No

Skills

General Ledger, Bank Reconciliation, Fixed Assets Accounting, Accruals, Financial Reporting, Data Validation, Internal Control, GAAP, ERP Applications, Oracle, SAP, Microsoft Office, Collaboration, Problem Solving, Audit Support, Month-End Activities

Industry

Automation Machinery Manufacturing

Description
Emerson’s 130+ years of history have been filled with achievements and challenges that have driven innovative thinking and bold transformations, molding us into the company we are today. By joining us as a Specialist II, Record to Report, you will be responsible for processing general ledger transactions, including but not limited to bank reconciliation, inventory and fixed asset accounting, accruals, prepayments/amortization, other month-end activities, Financial Uploads and Statements, and other GL reports. You will collaborate with internal and external customers and help identify operational improvements to provide excellent financial services. If this sounds like a perfect fit for you, apply now and join our team in Mandaluyong City, Philippines! In This Role, Your Responsibilities Will Be: Perform Fixed Assets Accounting, assist in preparing ad hoc reports, and perform other tasks as assign. Perform bank reconciliation, Goods in Transit Reconciliation, Accruals and Provisions, and other month-end financial close 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. Who You Are: You have a strong drive for results and exhibit passion and enthusiasm to get things done. You can efficiently carry out tasks independently and generate accurate, high-quality reports. You're a proactive self-starter with a high level of commitment to exceeding expectations. You can proficiently communicate ideas, collaborate, and efficiently work with people at any level, excelling in a team environment. For This Role, You Will Need: 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. Our Culture & Commitment to You At Emerson, we prioritize a workplace where every employee is valued, respected, and empowered to grow. We foster an environment that encourages innovation, collaboration, and diverse perspectives—because we know that great ideas come from great teams. Our commitment to ongoing career development and growing an inclusive culture ensures you have the support to thrive. Whether through mentorship, training, or leadership opportunities, we invest in your success so you can make a lasting impact. We believe diverse teams, working together are key to driving growth and delivering business results. We recognize the importance of employee wellbeing. We prioritize providing competitive benefits plans, a variety of medical insurance plans, Employee Assistance Program, employee resource groups, recognition, and much more. Our culture offers flexible time off plans, including paid parental leave (maternal and paternal), vacation, and holiday leave. #LI-Hybrid

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Responsibilities
The Specialist II, Record to Report will be responsible for processing general ledger transactions and performing various month-end financial close activities. This role involves collaborating with internal and external customers to identify operational improvements and ensure accurate financial reporting.
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