RTR Practitioner

IBM Computing

Quezon City

On-site

PHP 300,000 - 420,000

Full time

5 days ago
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Job summary

IBM Consulting is seeking a RTR Practitioner responsible for core accounting activities including journal entries, balance sheet maintenance, and period-end closings. You will support senior accountants and collaborate with cross-functional teams to ensure accurate financial reporting.

Ideal candidates hold a BS in Accountancy with 1–2 years of experience. Proficiency in Excel and ERP systems like SAP or Oracle is preferred.

Qualifications

  • Bachelor's degree in accounting or related field.
  • 1–2 years of work experience in Finance/Accounting (CPA optional).
  • Strong understanding of general accounting concepts and GAAP fundamentals.
  • Advanced Excel skills and ability to manipulate large data sets.
  • Experience with ERP systems such as SAP or Oracle is an advantage.

Responsibilities

  • Maintain general ledger accounts and data input.
  • Prepare and post journal entries.
  • Perform account reconciliations and resolve discrepancies.
  • Participate in monthly close and reporting processes.
  • Process intercompany activities and settlements.
  • Support fixed assets, cost, and inventory accounting.

Skills

General accounting
Excel
Communication skills

Education

BS Accountancy
CPA (optional)

Tools

SAP
Oracle

Job description

Introduction

A career in IBM Consulting is built on long-term client relationships and close collaboration worldwide. You’ll work with leading companies across industries, helping them shape their hybrid cloud and AI journeys. With support from our strategic partners, robust IBM technology, and Red Hat, you’ll have the tools to drive meaningful change and accelerate client impact. At IBM Consulting, curiosity fuels success. You’ll be encouraged to challenge the norm, explore new ideas, and create innovative solutions that deliver real results. Our culture of growth and empathy focuses on your long-term career development while valuing your unique skills and experiences.

Your role and responsibilities

RTR Practitioner's work consists primarily of general accounting activities. They include preparation and posting of journal entries, maintenance of balance sheet accounts and these accounts' reconciliations. Moreover, he/she takes part in periods' closings and accounts' analysis and supports senior colleagues (Senior Accountants / Chief Accountant) in carrying out responsibilities of the accounting department.

Your Roles and Responsibilities
Environment

Ability to cope with different situations, different requirements, uncertainty and stress; ability to modify goals and directions when needed.

Problem solving

Accurately accumulating information and its analysis; forecasting potential problems and planning; allowing for alternative, creative solutions and identifying most reasonable solutions.

Communication

Clear and concise in oral and written communication; attentive listening focused on understanding; adjusting the style of speech to the situation and to the audience; understanding and making use of accessible communication tools.

Effective cooperation with different units and teams inside and outside IBM; mutually respective and appreciating differences; building and strengthening relations; finding solutions favorable for both sides.

Drive to
Impact

Striving for ambitious goals and continuously seeking better results by overcoming challenges along the way and proactively expanding knowledge.

Taking ownership by identifying needs, making informed decisions, and assuming responsibility for tasks and outcomes.

Per Process:
  1. GL & Reporting System Maintenance
    1. Update and maintain the General Ledger chart of accounts with accurate data. This includes performing data validation to ensure that all entries conform to established rules and standards.
    2. Input data within the General Ledger.
    3. Collaborate with different teams to understand their data requirements and assist in appropriate GL data input.
    4. Monitor and perform correction of any data inconsistencies or discrepancies found in the GL system.
    5. Participate in regular data verification checks to ensure accuracy and compliance with accounting standards.
  2. Journal entry processing
    1. Perform basic data validation checks to ensure the accuracy and completeness of journal entries
    2. Prepare and / post journal entries into the General Ledger system.
    3. Ensures that tasks given is performed in a timely manner and with respective attention to their quality
  3. Account Reconciliation
    1. Perform periodic account reconciliations to ensure the accuracy of financial records. This includes balancing accounts between the General Ledger and subsidiary ledgers, as well as with external parties.
    2. Perform the analysis of the reconciliation, identify and investigate discrepancies, and work with relevant parties to resolve any differences.
    3. Maintain detailed records of reconciliation activities, including findings and resolutions.
    4. Ensures that tasks given is performed in a timely manner and with respective attention to their quality
  4. Intercompany Processing and Settlement
    1. Prepare and process intercompany billing documents, ensuring accuracy and compliance with established policies.
    2. Review and validate invoices before submission for processing.
    3. Accurately record and classify intercompany billing received into the appropriate accounts.
    4. Initiate the matching and posting of intercompany invoices to the General Ledger.
    5. Process intercompany settlements, including cash transfers, bank reconciliations, and journal entries.
    6. Maintain detailed records of settlement activities.
    7. Regularly reconcile intercompany account balances to ensure accuracy and compliance with accounting standards.
    8. Perform investigation and resolutions of any discrepancies identified during the reconciliation process.
    9. Work with international subsidiaries to obtain and validate intercompany balance confirmations.
    10. Resolve any discrepancies arising from the confirmation process.
  5. Cost and Inventory Accounting
    1. Track and report inventory levels and costs.
    2. Support the investigation and resolution of discrepancies in inventory records.
    3. Perform basic data validation checks to ensure the accuracy and completeness of inventory and cost records.
    4. Accurately input inventory and cost data into the General Ledger system.
  6. Fixed Assets and Project Accounting
    1. Perform basic data validation checks to ensure the accuracy and completeness of fixed asset records.
    2. Calculate and record depreciation expense for fixed assets in accordance with the company's depreciation policy.
    3. Record fixed asset additions, transfers and disposals in the General Ledger.
    4. Maintain up-to-date fixed asset registers and related documentation.
    5. Assist in preparing fixed asset schedules and reports.
    6. Set up new projects in the accounting system, ensuring proper classification and coding.
    7. Perform project transfers to other departments, and project adjustments.
  7. Close and consolidation
    1. Participate in the monthly close process, ensuring all accounts are accurately closed and consolidated.
    2. Prepare reports, schedules, analysis and journals entries.
Required technical and professional expertise
  1. Graduate of BS Accountancy, Finance, Business, Economics, or other related management degrees.
  2. Minimum of 1 to 2 Yrs work experience in Finance and Accounting, at least a year of experience in General Accounting (no experience required if CPA).
  3. Strong understanding or working knowledge of general accounting and various accounting concepts and principles.
  4. Advance knowledge and understanding on account reconciliation, identification of reconciling items and bring into resolution/closure, journal entry processing, month end close activities
  5. Advance knowledge and skills in Excel
  6. Excellent in written, oral and interpersonal communication skills
  7. Proficient knowledge and hands on experience in any related Accounting Software SAP, Oracle or any large-scale ERP system is an advantage
  8. Demonstrated knowledge and application of Generally Accepted Accounting Principles (GAAP, US GAAP, IFRS is an advantage)
  9. Ability to work independently in a fast-paced, dynamic setting while maintaining accuracy, prioritize tasks, manage multiple priorities and delivering against tight deadlines
  10. Demonstrated ability to solve complex of problem, results-oriented, committed to do follow ups, adds personal wisdom and experience to come to the best conclusion and solution, used multiple problem-solving tools and techniques, good relationship-building skills and should be a Team Player
  11. Can work on flexible hours to meet changing work environment & schedule and to meet tight deadlines

IBM is committed to creating a diverse environment and is proud to be an equal-opportunity employer. All qualified applicants will receive consideration for employment without regard to race, color, religion, sex, gender, gender identity or expression, sexual orientation, national origin, caste, genetics, pregnancy, disability, neurodivergence, age, veteran status, or other characteristics. IBM is also committed to compliance with all fair employment practices regarding citizenship and immigration status.

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