OTC Billing Lead — Revenue & AR Excellence

Everise Philippines Ltd.

Philippines

On-site

PHP 360,000 - 420,000

Full time

14 days+
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Job summary

Everise Philippines Ltd. is seeking a Finance professional to manage the OTC billing workflow and reconciliation processes. You will ensure timely billing delivery, review reports for accuracy, and coordinate with internal and external stakeholders to resolve disputes.

The role supports month-end closing and audits while upholding data integrity. The position requires strong accounting knowledge of OTC and Revenue, attention to detail, and adaptability to cyclical workloads.

Qualifications

  • Knowledge of general OTC and revenue accounting procedures.
  • Ability to work accurately with interruptions and shift priorities.
  • Strong analytical and problem-solving skills.
  • Proven communication with internal and external stakeholders.

Responsibilities

  • Lead the billing workflow and assign tasks in end-to-end Everise billing.
  • Ensure data and reports are ready to release final billings to customers.
  • Review billing reports for accuracy with supporting documents and approvals.
  • Liaise with internal/external customers and respond promptly to requests.
  • Assist in resolving billing disputes and discrepancies.
  • Maintain customer accounts and reconciliations up to date.
  • Prepare account reconciliations and ad-hoc management reports.
  • Assist with month-end closing and audits (external/internal).
  • Understand AR and Revenue reporting and its impact on GL structure.
  • Support internal controls within OTC and participate in process improvements.

Skills

OTC knowledge
Revenue accounting
Attention to detail
Interpersonal skills
Analytical skills
NetSuite exposure

Tools

NetSuite

Job description

Everise Philippines Ltd. is seeking a Finance professional to manage the OTC billing workflow and reconciliation processes. You will ensure timely billing delivery, review reports for accuracy, and coordinate with internal and external stakeholders to resolve disputes.

The role supports month-end closing and audits while upholding data integrity. The position requires strong accounting knowledge of OTC and Revenue, attention to detail, and adaptability to cyclical workloads.

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