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Canon Business Service Centre (PHL) is hiring a Finance Analyst to support Oceania operations. The role ensures timely journal entries, month-end closes, and accurate general ledgers.
You will work with ERP tools and assist with intercompany reconciliations in a hybrid setup after training. Based in Taguig, this full-time position requires GAAP/IFRS knowledge, strong analytical skills, and proficiency in Excel and financial reporting.
Work Schedule: 6 AM - 3 PM
Work Setup: Hybrid after training
Work Location: McKinley Hill, Taguig
Finance & Accounting- Oceania provides other divisions with financial information to enable them to make effective business decisions. OFS also implements and monitors effective financial controls. The Finance Analyst is responsible for ensuring that all journal entries, month-end reports and general ledgers reconciliations are completed accurately and reported on a timely basis to enable other divisions with financial information to enable them to make effective business decisions.
Ensure that journal entries are posted on time for monthly reporting
Ensure all month end journals are processed before finalisation of CFA & Consolidated accounts
Finalise year end accounts, including reviewing of provision amounts and documentation supplied by divisions ensuring provisions are fully supported
Co-ordinate and ensure that all general ledger reconciliations are completed accurately and on a timely basis and reviewed in Blackline
Ensure that reconciling items are cleared on a timely basis. Delegate resolution to appropriate staff and **escalate** unresolved issues
Co-ordinate and ensure all intercompany accounts are reconciled and all outstanding/overdue items are cleared on a timely basis.
Ensure all queries are handled promptly and professionally
Ensure all journals are completed in accordance with monthly reporting timetables
Assist in month end closing for CFA
Ensure all reconciliations are completed in accordance with monthly timetables
Identify any issues on reconciliations as they arise. Escalate any material issues to management
Maintain Blackline for CFA for BS reconciliations
Ensure all monthly and quarterly reports ie Funding Report, Cash Flow Forecast, Risk Analysis Report are accurate and submitted on time
Ensure Realtime interface entries are successfully created in D365 both CFA and CFNZ
Ensure Daily bank reconciliation is done and investigate for any variances
Audit the AP invoices during payment run schedule when assigned as AP auditor
Participate in any projects where required.
All staff within F&A
AR Admin Team
CFA Operations and Settlement Team
Commercial Team
Bachelor’s/College Degree in Accounting or equivalent
At least 3 year (s) of working experience in the related field is required
Hands-on experience with ERP systems (e.g.Real Time, Microsoft D365, TM1, BlackLine);
Strong knowledge of GAAP / IFRS, foreign currency transactions, and intercompany frameworks.
Proficient in Excel and financial reporting tools.
With excellent analytical and problem-solving skills.
Detail-oriented with strong organizational and communication skills.
Good level of initiative
Efficient time management