PURPOSEAccountant 2 is responsible for the management of field accounts payable and general ledger files, recording, analysing, and reconciling of all accounting records in JDE/IRIS. They are responsible for the financial closing and reporting of accounts of the delegations under their area of responsibility.RELATIONSHIPS
Internally interacts and works closely with the finance teams in the field delegations, teams in the Financial shared services and other internal stakeholders to be able to deliver the accounting services.
Externally, interacts with banks, suppliers, and tax authorities on a case-by-case basis.
ACCOUNTABILITIES AND RESPONSIBILITIES
Receives invoices from the field delegations, verifies its quality and completeness.
Prepares and records accounting entries in the accounting software (IRIS/JDE/PPS) in timely manner.
Establishes and ensures accurate bookkeeping and archiving with appropriate supporting documents.
Performs the cash and bank reconciliations in IRIS/JDE on a regular basis.
Performs integrity checks of accounting entries and account balances.
Ensures accuracy and completeness of accounting transactions in accordance with financial procedures.
Ensures maintenance of sound accounting documentation to meet external and internal audit requirements.
Identifies anomalies or other issues and proposes solutions to their supervisor.
Participates in annual and monthly closing activities.
Applies and complies with all administrative and financial procedures and deadlines.
Performs voucher matching of supply chain goods and performs CUPR adjustment entries to clear open receipts.
Performs accounting corrections and adjustments when needed.
Monitors, reconciles, and consolidates balance sheet accounts of Field delegations/sites.
Prepares and consolidates monthly List of Accounts for Reconciliation and Confirmation (LARC).
Prepares weekly/monthly or annually accounting reports as per the needs.
Uploads the finalized/validated accounting vouchers and supporting documents to Ms Azure.
Performs other accounting tasks as directed by her/his supervisor.
Additional Duties
Handles payments of invoices through on-line banking and monitor payment requests (upon request).
Handles vendor creation/modifications in IRIS/JDE (upon request).
Provides support and training to the finance and non- finance teams in the delegations/sites under her/his area of responsibility.
Analyzes and work on the accounting comments (pre/post-closing comments, CTM Quarterly Comments, Distribution Tracking, Inventory, etc) and coordinate the replies with the concerned delegation/site under their responsibility.
SELECTION REQUIREMENTS
CPA (Certified Public Accountant) in good standing.
Excellent Computer proficiency - Technically proficient in Microsoft Office environment - Excel, PowerPoint, Word, SharePoint and Erwin / Orbus)
Sound knowledge and experience in ERP (JD Edwards).
Minimum 3-5 years' experience in Accounting/Finance position.
Experience in an international organization or NGO.
Excellent command of written and spoken English (Knowledge of French/Spanish/Arabic is an asset),
Strong organization, planning and analytical skills.
Able to work independently and under pressure with high levels of complexity.
Excellent interpersonal skills and capacity for collaborative teamwork across disciplines.
Hybrid working modalities (work on site preferred).
WHAT WE OFFER
Diverse and humanitarian-minded workforce
An opportunity to contribute to institutional efforts to protect and assist conflict victims worldwide
Training opportunities
Flexible work schedule
ReliefWeb
Internally interacts and works closely with the finance teams in the field delegations, teams in the Financial shared services and other internal stakeholders to be able to deliver the accounting services.
Externally, interacts with banks, suppliers, and tax authorities on a case-by-case basis.
ACCOUNTABILITIES AND RESPONSIBILITIES
Receives invoices from the field delegations, verifies its quality and completeness.
Prepares and records accounting entries in the accounting software (IRIS/JDE/PPS) in timely manner.
Establishes and ensures accurate bookkeeping and archiving with appropriate supporting documents.
Performs the cash and bank reconciliations in IRIS/JDE on a regular basis.
Performs integrity checks of accounting entries and account balances.
Ensures accuracy and completeness of accounting transactions in accordance with financial procedures.
Ensures maintenance of sound accounting documentation to meet external and internal audit requirements.
Identifies anomalies or other issues and proposes solutions to their supervisor.
Participates in annual and monthly closing activities.
Applies and complies with all administrative and financial procedures and deadlines.
Performs voucher matching of supply chain goods and performs CUPR adjustment entries to clear open receipts.
Performs accounting corrections and adjustments when needed.
Monitors, reconciles, and consolidates balance sheet accounts of Field delegations/sites.
Prepares and consolidates monthly List of Accounts for Reconciliation and Confirmation (LARC).
Prepares weekly/monthly or annually accounting reports as per the needs.
Uploads the finalized/validated accounting vouchers and supporting documents to Ms Azure.
Performs other accounting tasks as directed by her/his supervisor.
Additional Duties
Handles payments of invoices through on-line banking and monitor payment requests (upon request).
Handles vendor creation/modifications in IRIS/JDE (upon request).
Provides support and training to the finance and non- finance teams in the delegations/sites under her/his area of responsibility.
Analyzes and work on the accounting comments (pre/post-closing comments, CTM Quarterly Comments, Distribution Tracking, Inventory, etc) and coordinate the replies with the concerned delegation/site under their responsibility.
SELECTION REQUIREMENTS
CPA (Certified Public Accountant) in good standing.
Excellent Computer proficiency - Technically proficient in Microsoft Office environment - Excel, PowerPoint, Word, SharePoint and Erwin / Orbus)
Sound knowledge and experience in ERP (JD Edwards).
Minimum 3-5 years' experience in Accounting/Finance position.
Experience in an international organization or NGO.
Excellent command of written and spoken English (Knowledge of French/Spanish/Arabic is an asset),
Strong organization, planning and analytical skills.
Able to work independently and under pressure with high levels of complexity.
Excellent interpersonal skills and capacity for collaborative teamwork across disciplines.
Hybrid working modalities (work on site preferred).
WHAT WE OFFER
Diverse and humanitarian-minded workforce
An opportunity to contribute to institutional efforts to protect and assist conflict victims worldwide
Training opportunities
Flexible work schedule
ReliefWeb
Other Info
Makati City, Metro Manila
Permanent
Full-time
Permanent
Full-time
Submit profile
International Committee of the Red Cross
About the company
International Committee of the Red Cross jobs
Makati City, Metro Manila
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Position Accountant recruited by the company International Committee of the Red Cross at MetroManila, Manila, Makati, Joboko automatically collects the salary of , finds more jobs on Accountant or International Committee of the Red Cross company in the links above
About the company
International Committee of the Red Cross jobs
Makati City, Metro Manila







