Accountant

Aurecon

Manila, Philippines
Intercompany accounting processes
Bank reconciliation preparation
Month end journal entries
The role is responsible for managing intercompany accounting processes including reviewing transactions, resolving reconciling items, and preparing accruals

Job Summary

  • The role is responsible for managing intercompany accounting processes including reviewing transactions, resolving reconciling items, and preparing accruals.
  • You will support Group Finance with fixed assets accounting, bank reconciliations, journal entries, audit engagements, and process improvements.
  • Aurecon values diversity, creativity, and teamwork to solve complex challenges and encourages applying skills across geographies and markets.

Matching Summary

The role is responsible for managing intercompany accounting processes including reviewing transactions, resolving reconciling items, and preparing accruals.

Skills & Requirements

Must-have

  • Intercompany accounting processes
  • Bank reconciliation preparation
  • Month end journal entries
  • Balance sheet account reconciliations
  • Internal and external audit support
  • Process improvement initiatives
  • Adherence to company policies

Nice-to-have

  • Strong stakeholder engagement
  • Excellent time management skills
  • Attention to detail and confidentiality
  • Team collaboration and creativity
  • Strategy guidance in finance activities
  • Diversity and inclusiveness culture

Key Requirements

  • Experience in intercompany accounting
  • Knowledge of fixed assets accounting
  • Ability to prepare bank reconciliations
  • Experience with audit engagements
  • Strong organizational skills
  • Confidentiality and accuracy focus

Work Rights

Not specified

Tailored Resume

Cover Letter