Sr Accountant Specialist at onsemi
Muntinlupa, Metro Manila, Philippines -
Full Time


Start Date

Immediate

Expiry Date

15 May, 26

Salary

0.0

Posted On

14 Feb, 26

Experience

2 year(s) or above

Remote Job

Yes

Telecommute

Yes

Sponsor Visa

No

Skills

Fixed Assets Accounting, Account Analysis, General Ledger Reconciliation, Oracle System, Intercompany Transactions, Depreciation Testing, Business Cycle Improvement, Analytical Skills, Communication Skills, Interpersonal Skills

Industry

Semiconductor Manufacturing

Description
- Report all fixed assets and related transactions accurately - Prepare monthly account analysis for fixed assets related accounts, Depreciation Test of Reasonableness and FA roll forward - Maintain and reconcile subsidiary ledger with general ledger - Coordinate with Corporate controllers and project owners - Identify Oracle system issues and coordinate with superiors for resolution - Identify areas for improvement in the business cycle for fixed assets and provide recommendations for management’s consideration - Responsible for intercompany asset transactions and reports onsemi (Nasdaq: ON) is driving disruptive innovations to help build a better future. With a focus on automotive and industrial end-markets, the company is accelerating change in megatrends such as vehicle electrification and safety, sustainable energy grids, industrial automation, and 5G and cloud infrastructure. With a highly differentiated and innovative product portfolio, onsemi creates intelligent power and sensing technologies that solve the world’s most complex challenges and leads the way in creating a safer, cleaner, and smarter world. More details about our company benefits can be found here: https://www.onsemi.com/careers/career-benefits We are committed to sourcing, attracting, and hiring high-performance innovators, while providing all candidates a positive recruitment experience that builds our brand as a great place to work.
Responsibilities
The role involves accurately reporting all fixed assets and related transactions, including preparing monthly account analysis, depreciation tests, and maintaining ledger reconciliations. Responsibilities also include coordinating with corporate controllers and managing intercompany asset transactions.
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