The PTP Financial Specialist is responsible for providing timely and accurate recording of transaction in the general ledger in compliance with customer requirements as stipulated in the Service Level Agreement (SLA), and under the direction of the Process Lead. This includes balance sheet reconciliations, feeder systems from sub ledgers, journal entries, allocations, intercompany balance confirmation and all Fixed Assets transactional processing and reporting, and conducting month end close procedures.
Responsibilities:
Performing accounting transactions with required quality according to job description, instructions and tasks assigned by Team Leader
Providing other clerical and work organization duties
Performing other specific accountabilities as directed and also independently
Proposing and implementing process improvements to increase quality and efficiency
Providing training to Junior Accountants or new team members
Creating and maintaining Operating Procedures
Adhering to service levels (SLA)
Adhering to company policies and procedures
Qualifications:
Preferably accounting graduate or equivalent degree/work experience
2-5 years of finance professional experience especially in the field of accounting processes
Effective knowledge of business English (oral and written skills)
Proficient in digital tools, including email platforms, SharePoint, and Microsoft 365 (Excel, Word, PowerPoint)
Good knowledge of SAP or other ERP or accounting system
Ability to work with high accuracy and keeping the deadlines
Has proficiency in specific aspects of an intermediate to moderately complex process
Completes work with a limited degree of supervision
Demonstrates proficiency in client language, country and company culture, operating standards and procedures
Demonstrates the competencies of customer focus, teamwork, communication, results driven, creativity and innovation at the level required for effectiveness in current assignment