Accounting specialistsCentruni Business Process Outsourcing Services
Workplace: Cebu
Salary: Agreement
Work form: Full time
Posting Date: 07/11/2025
Deadline: 28/11/2020
Centruni is a BPO company who values and promotes flexibility and proactivity. we practice exceptional work ethics, persistence in making things work, and we embody the truest sense of team work.
We are a multinational firm with offices across Europe, China and Philippines.
We believe in an open dynamic and flexible and comfortable work environment where people get the opportunity to reinforce their capacities and to grow their skills. During this period, we offer remote work from home. A stable internet connection and PC is required for the position. Can be provided by the company.
Our doors are open to welcome teammates who can live up to what it takes to be part of our growing team! We are looking for ACCOUNTING SPECIALISTS who will work to achieve financial goals, supervise investment decisions and create financial reports.
As an Accounting Specialist, your responsibilities will include the ff:
Maintains stewardship for financial assets including cash and investments management
Acts as an expert advisor on banking issues for the business units and other corporate functional areas
Submit periodic reports detailing the company's present financial situation and forecasting the coming quarter
Implement company policies regarding documentation and accounting of receipts and other financial information
Assist in cash projection/forecasting
Act as authorized representative of the Company to review and approve certain transactions involving cash
Execute transfers and other funding necessary related to day-to-day activities
Handle outgoing banking transactions on behalf of the company
Periodic and routine reconciliation of cash and credit card banking accounts to ensure the company's records match with those of the banks and other financial institutions
Reconcile and rectify other ledger accounts
Perform audit and verification procedures of bank and credit card accounts
Monitor all banking activities in order to detect irregularities and provide feedback on how to improve on internal controls, and also pinpoint areas where risks relating to banking transactions can be minimized
Provide documentation for the purpose of supporting all financial transactions
Maintain required files, reports, and data
Supervise Bills to Payment team
Develop guidelines for proper handling and coding of invoices to maintain general ledger expense account and records
Analyze & verify invoices and other expense reports for accuracy and eligibility for payment
Ensure timely payment of vendor invoices and expense vouchers
Prepare accounts payable ledger and other related reports
Ensures proper recordkeeping and proper maintenance, filing, and storage of records
Qualifications for the role:
A graduate of Accounting or Finance related course with 2-5 years of experience in financial accounting
Preferably a Certified Public Accountant
Has at least a year of supervisory experience in general accounting
Demonstrated experience as treasurer or in a relevant financial management position
Proven ability to calculate, post and manage financial records
Well-versed with different online banking processes including different payment portals/processors
Has at least a year of experience with reconciliation and cash audit procedures
Experience with accounting systems and software is a must
Has extensive knowledge of receivables and cash processes
Detail-oriented and ability to envision different aspects of business finances
Has excellent communication skills
Has advanced skills and knowledge in Excel and other MS Office applications
Exceptional communication and interpersonal skills
We are a multinational firm with offices across Europe, China and Philippines.
We believe in an open dynamic and flexible and comfortable work environment where people get the opportunity to reinforce their capacities and to grow their skills. During this period, we offer remote work from home. A stable internet connection and PC is required for the position. Can be provided by the company.
Our doors are open to welcome teammates who can live up to what it takes to be part of our growing team! We are looking for ACCOUNTING SPECIALISTS who will work to achieve financial goals, supervise investment decisions and create financial reports.
As an Accounting Specialist, your responsibilities will include the ff:
Maintains stewardship for financial assets including cash and investments management
Acts as an expert advisor on banking issues for the business units and other corporate functional areas
Submit periodic reports detailing the company's present financial situation and forecasting the coming quarter
Implement company policies regarding documentation and accounting of receipts and other financial information
Assist in cash projection/forecasting
Act as authorized representative of the Company to review and approve certain transactions involving cash
Execute transfers and other funding necessary related to day-to-day activities
Handle outgoing banking transactions on behalf of the company
Periodic and routine reconciliation of cash and credit card banking accounts to ensure the company's records match with those of the banks and other financial institutions
Reconcile and rectify other ledger accounts
Perform audit and verification procedures of bank and credit card accounts
Monitor all banking activities in order to detect irregularities and provide feedback on how to improve on internal controls, and also pinpoint areas where risks relating to banking transactions can be minimized
Provide documentation for the purpose of supporting all financial transactions
Maintain required files, reports, and data
Supervise Bills to Payment team
Develop guidelines for proper handling and coding of invoices to maintain general ledger expense account and records
Analyze & verify invoices and other expense reports for accuracy and eligibility for payment
Ensure timely payment of vendor invoices and expense vouchers
Prepare accounts payable ledger and other related reports
Ensures proper recordkeeping and proper maintenance, filing, and storage of records
Qualifications for the role:
A graduate of Accounting or Finance related course with 2-5 years of experience in financial accounting
Preferably a Certified Public Accountant
Has at least a year of supervisory experience in general accounting
Demonstrated experience as treasurer or in a relevant financial management position
Proven ability to calculate, post and manage financial records
Well-versed with different online banking processes including different payment portals/processors
Has at least a year of experience with reconciliation and cash audit procedures
Experience with accounting systems and software is a must
Has extensive knowledge of receivables and cash processes
Detail-oriented and ability to envision different aspects of business finances
Has excellent communication skills
Has advanced skills and knowledge in Excel and other MS Office applications
Exceptional communication and interpersonal skills
Other Info
5+ Years Experience
Open to Work From Home
Open to Work From Home
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Centruni Business Process Outsourcing Services
About the company
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