Finance Analyst

Hammerjack Pty Ltd

Taguig

On-site

PHP 480,000 - 720,000

Full time

3 days ago
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Job summary

Sun Life Philippines is seeking a detail‑oriented Accountant to perform complex balance sheet reconciliations for assigned accounts, ensuring accuracy and compliance with GAAP and local regulations. You will identify reconciling items, support management reporting, and collaborate with cross‑functional teams to resolve issues.

The role requires a Bachelor's in Accounting and 2–3 years of general accounting experience, including at least 1 year in reconciliations within regulated financial

Qualifications

  • Bachelor’s degree in Accounting.
  • 2–3 years in General Accounting; minimum 1 year in Accounts Reconciliation, preferably in regulated financial services.

Responsibilities

  • Prepares monthly balance sheet reconciliations for assigned accounts.
  • Identifies reconciling items and escalates issues to management.
  • Provides supporting schedules and reports for management, auditors and regulators.
  • Supports process improvements through system enhancements and projects.
  • Documents end-to-end processes and control activities for assigned accounts.
  • Ensures compliance with internal controls and risk management.

Skills

GAAP knowledge
Microsoft Excel
Internal controls
Financial analysis
Team collaboration
Communication
Working under pressure

Education

Bachelor's degree in Accounting

Tools

SAP General Ledger
PAM
Ingenium
FIS
GIS
Fixed Asset System
IPAC
AGIS

Job description

You are as unique as your background, experience and point of view. Here, you'll be encouraged, empowered and challenged to be your best self. You'll work with dynamic colleagues - experts in their fields - who are eager to share their knowledge with you. Your leaders will inspire and help you reach your potential and soar to new heights. Every day, you'll have new and exciting opportunities to make life brighter for our Clients - who are at the heart of everything we do.

At Sun Life, we're driven by our Purpose: helping our Clients achieve lifetime financial security and live healthier lives. Our values shape how we work: caring, authentic, bold, inspiring, and impactful.

When you join Sun Life, you'll work with passionate colleagues and empowering leaders who support your growth and celebrate your contributions, so you can make a meaningful difference in our Clients lives.

Discover how you can make a difference in the lives of individuals, families and communities around the world.

Job Description:
Job description

The position is responsible for performing complex balance sheet reconciliation activities for assigned in-scope accounts of SLOCPI, SLGFI, SLFPI, SLAMCI, SLIMTC, Prosperity Funds and HoldCo. This includes identifying and resolving accounting and internal control issues arising from business activities and process changes. The role requires a thorough understanding of end-to-end business processes to ensure that appropriate internal controls are designed and operating effectively, and that transactions are recorded in compliance with generally accepted accounting principles. The position ensures the accuracy, completeness, and integrity of financial information through detailed monthly reconciliation analysis and the preparation of comprehensive reconciliation reports. In partnership with management, the role supports the identification, assessment, and resolution of control issues, and actively participates in the development and implementation of corrective actions and new or enhanced procedures to strengthen the overall control environment.

Qualifications:
Minimum Requirements
  • A Bachelor's degree in Accounting.
  • At least 2-3 years of experience in General Accounting. . Minimum of 1 year of experience in Accounts Reconciliation, preferably within a regulated financial services environment.
Technical Skills
  • Working knowledge of audit requirements, internal controls, and system-based control environments. . Foundational understanding of Generally Accepted Accounting Principles (GAAP), including Canadian, US, and Philippine standards, as well as applicable local tax rules and regulatory requirements.
  • Familiarity with SAP General Ledger and related feeder systems is preferred, including but not limited to PAM, Ingenium, FIS, GIS, Fixed Asset System, IPAC and AGIS.
  • Demonstrated business acumen in life insurance, pre-need, and wealth management operations. . Exposure to multiple finance functions such as Cash Management, Banking, Portfolio Management, Agency Payroll, Budgeting, Financial Reporting, and Financial Analysis.
  • Strong proficiency in Microsoft Excel and other financial analysis and reporting tools.
Leadership Skills
  • Demonstrates strong integrity, accountability, results orientation, and problem‑solving mindset. .
  • Effective team player with strong interpersonal skills and the ability to collaborate across functions. .
  • Capable of working under pressure while managing multiple priorities and deliverables. .
  • Able to clearly articulate and present ideas, analyses, and recommendations to support decision‑making and obtain approvals. .
  • Strong written and verbal communication skills.
Responsibilities
  • Prepares monthly balance sheet account reconciliations for assigned accounts in accordance with Local and Global Accounts Reconciliation Guidelines and Standards, ensuring accuracy and completeness of balances prior to submission.
  • Identifies reconciling items and potential issues, coordinates with relevant units to resolve variances, and escalates complex or aged items to the Manager in a timely manner.
  • Provides accurate financial support schedules and reports for management, internal and external auditors, and regulators, including aging reports, fixed asset schedules, and supporting worksheets for statutory and management reporting. .
  • Supports process improvement initiatives by participating in system enhancements and finance projects, including requirements gathering, user testing, and implementation activities.
  • Develops a solid understanding of end‑to‑end business processes related to assigned accounts and assists in documenting procedures and control activities. .
  • Complies with established internal controls and actively contributes to risk identification and control effectiveness within assigned scope.
Job Category:

Finance

Posting End Date:

29/11/2026

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