OTC Analysts

SGSMuntinlupaJob.bopubblicata il 25/06/2020
Indispensabile:Senior

SGS is the world’s leading inspection, verification, testing and certification company. SGS is recognized as the global benchmark for quality and integrity. With more than 95,000 employees, SGS operates a network of over 2,000 offices and laboratories around the world.

PRIMARY RESPONSIBILITIES

As an Analyst and/or Specialist, you will be part of a team responsible for performing tasks within the Order to Cash Stream (Accounts Receivable & Collections), as well as your involvement in the Month End Closing process and some other specific accounting activities related to the stream. The performance should meet the requirements defined in the SLA/KPI’s As an O2C Analyst you will be performing various tasks within the O2C process:

  • Booking and Allocation of payments received from clients.
  • Assist with revenue downloading and reconciliation with invoicing system.
  • Accurate and timely booking of money collected through cash and credit card payments.
  • Close monitoring and coordination with Collections Team on unapplied and unidentified payments.
  • Correct treatment of COD (Cash On Delivery) accounts.
  • Ensure Credit Notes and Invoices are properly offset.
  • Responding to inquiries from business / customers and resolve issues.
  • Perform AR reconciliations.
  • Assist with AR sub-ledger close process and other Month End activities (Bad debt provision, Unbilled Revenue, WIP)
  • Ensure monthly checklists are completed by the month end and signed off by Senior Accountant.

As an O2C Specialist, you will be performing various tasks within the O2C process:

  • Revenue download, interface and reconciliation with invoicing system when needed.
  • Booking and Allocation of payments received from clients.
  • Supervise correct treatment of COD (Cash On Delivery) accounts.
  • Supervising Credit Notes and Invoices are properly offset, if needed.
  • Ensure unapplied and unidentified payments from clients are actioned by working closely with Collections Team.
  • Ensure there are no outstanding transactions related to Accounts Receivable pending on the bank reconciliation.
  • Responding to inquiries from business / customers and resolve issues.
  • Assist O2C Supervisor in any ad-hoc activities.
  • Manage Month End closing activities, deadlines and performing the AR sub-ledger close process.
  • Prepare Bad debt provision analysis and journal to be imported by R2R.
  • Extract and review Unbilled Revenue ageing journal to ensure compliance with approved Tolerance grid.
  • Prepare WIP journal as per affiliate instructions.
  • Perform AR reconciliations and Reporting.

PROFILE for Analysts:

  • Bachelor’s Degree, preferably in Accounting, Business or Finance
  • 2+ years of professional experience in Order to Cash – Cash Application, Month End Close, Reconciliation and Cash and Bank – nice to have
  • General knowledge of accounting principles – nice to have
  • Experience in financial systems (knowledge of Oracle E Business Suite is nice to have)
  • Familiarity with excel – intermediate level - require

PROFILE for Specialists:

  • Bachelor’s Degree in Accounting, Business or Finance
  • Minimum 3 years of related professional experience in Accounting / Finance – required (if this experience is within an SSC environment it is an advantage)
  • General knowledge of accounting principles - required
  • Experience in financial systems (knowledge of Oracle E Business Suite is nice to have)
  • Familiarity with excel – intermediate level