Accountant iiAlorica
Workplace: MetroManila, Manila, Taguig
Salary: Agreement
Work form: Full time
Posting Date: 25/09/2025
Deadline: 25/10/2025
Job Category: Operations SupportDegree Level: High School GraduateJob Description:BOOK RELATED - ERRORS
Reviewing all line items in the Recon Sheet and checking for manual errors in its preparation including transposition by validating with Systems Posting and data from UnApplied. Since Recon Sheet are posted in Oracle daily, any errors identified will be summarized and recommended for posting during month end close by Corporate Accounting.
BANK RELATED - ERRORS
Tracing and matching all items in Recon Sheet by validating the deposits through the bank statement and the bank portal. Since some deposits take time before it reflects in the bank account, days processing is considered in checking the crediting of these items. Any errors identified such as incorrect deposit or in case of depositary account missing funding to appropriate account, will be manually requested to Treasury for adjustment.
Qualifications:OTHERS
Accounting for payments already credited and returns already debited in the relative bank accounts and recommend or follow up for posting or reversal to Payment Processing Team.
Communicating with appropriate departments in checking backup for discrepancies such as Treasury (for any unreconciled bank adjustments) and Client Accounting (for any ACH related returns).
Investigating card payment discrepancies in Systemic Posting of items (E-Pay) and identify individual payments refunded through PayNow for manual reversal.
Serving as filter on both deposits (received on time) and remittances (debited in reference to actual deposits received) to avoid Cash Shortage and Insufficiency among bank accounts.
WEEKLY
Preparation and submission of a Manual Transfer file which will be submitted through a ticket in ServiceNow. This will be for approval and review by the Manager of Payment Processing. The Treasury Team processes the bank transfer and days after, correction will be reflected in the bank statement.
MONTHLY
Preparation and submission of summary of all Book-related errors needing GL adjustments to be corrected by the Corporate Accounting.
Cooperate directly with GL Team in substantiating necessary adjustments to our Book by ensuring appropriate Daily Cash files and corrected Recon Sheets.
Attending month-end close calls to communicate and resolve issues before the Book Close.
Updating the Daily Recon file once all adjustments have been entered and books are closed to reflect any missed adjustments, if there are any.
About Us:At Alorica, we only do one thing - make lives better, one interaction at a time. We're a global leader in customer service and experience, serving the world's biggest brands with tens of thousands of employees in hundreds of locations around the globe.Every day, we aim to live up to our mission of creating insanely great customer experiences. But as Alorica employees, giving back matters just as much - that's why we're so proud of Making Lives Better with Alorica, a non-profit, 501(c)(3) organization dedicated to providing assistance to employees, their families and the people, organizations and communities who support them. Simply put, we want to make lives better...one interaction at a time. And to do that, we need the very best people to join us.About the Team: At Alorica, we're all about putting our team members on a passionate, rewarding career path-and we work hard to craft an insanely great work environment for our colleagues. A place where you can be yourself. Where you can work hard and play hard. Where you can get involved in the community. And where doing the right thing-and taking care of one another-is an integral part of who we are.
Alorica
Reviewing all line items in the Recon Sheet and checking for manual errors in its preparation including transposition by validating with Systems Posting and data from UnApplied. Since Recon Sheet are posted in Oracle daily, any errors identified will be summarized and recommended for posting during month end close by Corporate Accounting.
BANK RELATED - ERRORS
Tracing and matching all items in Recon Sheet by validating the deposits through the bank statement and the bank portal. Since some deposits take time before it reflects in the bank account, days processing is considered in checking the crediting of these items. Any errors identified such as incorrect deposit or in case of depositary account missing funding to appropriate account, will be manually requested to Treasury for adjustment.
Qualifications:OTHERS
Accounting for payments already credited and returns already debited in the relative bank accounts and recommend or follow up for posting or reversal to Payment Processing Team.
Communicating with appropriate departments in checking backup for discrepancies such as Treasury (for any unreconciled bank adjustments) and Client Accounting (for any ACH related returns).
Investigating card payment discrepancies in Systemic Posting of items (E-Pay) and identify individual payments refunded through PayNow for manual reversal.
Serving as filter on both deposits (received on time) and remittances (debited in reference to actual deposits received) to avoid Cash Shortage and Insufficiency among bank accounts.
WEEKLY
Preparation and submission of a Manual Transfer file which will be submitted through a ticket in ServiceNow. This will be for approval and review by the Manager of Payment Processing. The Treasury Team processes the bank transfer and days after, correction will be reflected in the bank statement.
MONTHLY
Preparation and submission of summary of all Book-related errors needing GL adjustments to be corrected by the Corporate Accounting.
Cooperate directly with GL Team in substantiating necessary adjustments to our Book by ensuring appropriate Daily Cash files and corrected Recon Sheets.
Attending month-end close calls to communicate and resolve issues before the Book Close.
Updating the Daily Recon file once all adjustments have been entered and books are closed to reflect any missed adjustments, if there are any.
About Us:At Alorica, we only do one thing - make lives better, one interaction at a time. We're a global leader in customer service and experience, serving the world's biggest brands with tens of thousands of employees in hundreds of locations around the globe.Every day, we aim to live up to our mission of creating insanely great customer experiences. But as Alorica employees, giving back matters just as much - that's why we're so proud of Making Lives Better with Alorica, a non-profit, 501(c)(3) organization dedicated to providing assistance to employees, their families and the people, organizations and communities who support them. Simply put, we want to make lives better...one interaction at a time. And to do that, we need the very best people to join us.About the Team: At Alorica, we're all about putting our team members on a passionate, rewarding career path-and we work hard to craft an insanely great work environment for our colleagues. A place where you can be yourself. Where you can work hard and play hard. Where you can get involved in the community. And where doing the right thing-and taking care of one another-is an integral part of who we are.
Alorica
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Taguig City, Metro Manila
Permanent
Full-time
Permanent
Full-time
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