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Financial Analyst - Junior (Insurance)

  • Full Time, onsite
  • Arch Global Services (Philippines) Inc.
  • Taguig, Philippines
Salary undisclosed

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Company Description

AGSI was incorporated in April 2016. We are committed to supporting the goals of Arch divisions through exceptional service delivery. We pride ourselves on maintaining flexibility and responsiveness to adapt to business unit and industry demands while focusing on sound project management. We are dedicated to growing and developing our employees as we build strong teams with strategic leadership.

Job Description

The Financial Analyst - CASH RECONCILIATION is responsible for collection, organization, interpretation, analysis, recording, documentation, and dissemination of complex data sets. The candidate will process and reconcile finance related transactions with a strong focus on accuracy, timeliness, customer service and the ability to work in a fast-paced environment. The candidate will provide support during night shift corresponding to US EST working hours and be part of the Finance team Accurate and timely turnaround on all payables for various entitie

  • Utilize complex cost center and intercompany allocation methodologie
  • Provide data analytics – e.g. payment volume report, duplicate and prohibited vendor
  • Assist with journal entries on reclass and reproces
  • Vendor management - verify banking information for ACH and wire settlement
  • Access vendor billing portals to generate electronic invoice
  • Provide customer service to internal and external customer
  • Assist with various projects that entail analysis and reconciliatio
  • Meet various deliverables for monthly and quarterly financial clos
  • Collaborate with both onshore and offshore teams to meet departmental goals

Qualifications

  • Knowledge and experience in insurance accounting
  • Strong attention to detail
  • Strong organizational and time management skills
  • The ability to communicate effectively with individuals
  • Strong work ethic and the ability to take initiative to work without supervision
  • Technical knowledge of reinsurance terms, contracts, and cash settlement practices
  • Ability to use initiative and self-manage to resolve issues independently
  • Strong computer skills, in particular, proficiency in Microsoft Office suite of applicatio ns,primarily Excel
  • Ability to grasp new concepts, systems and applications quickly and efficiently
  • Candidates need to be flexible with their schedule since shift may change depending on

the needs of the team. Extra time may be required during quarter close and financial reporting close.

Additional Informations

  • BS in Finance, Accounting, Mathematics, Economics, Statistics or related discipline
  • Shift: Night Shift

Company Description

AGSI was incorporated in April 2016. We are committed to supporting the goals of Arch divisions through exceptional service delivery. We pride ourselves on maintaining flexibility and responsiveness to adapt to business unit and industry demands while focusing on sound project management. We are dedicated to growing and developing our employees as we build strong teams with strategic leadership.

Job Description

The Financial Analyst - CASH RECONCILIATION is responsible for collection, organization, interpretation, analysis, recording, documentation, and dissemination of complex data sets. The candidate will process and reconcile finance related transactions with a strong focus on accuracy, timeliness, customer service and the ability to work in a fast-paced environment. The candidate will provide support during night shift corresponding to US EST working hours and be part of the Finance team Accurate and timely turnaround on all payables for various entitie

  • Utilize complex cost center and intercompany allocation methodologie
  • Provide data analytics – e.g. payment volume report, duplicate and prohibited vendor
  • Assist with journal entries on reclass and reproces
  • Vendor management - verify banking information for ACH and wire settlement
  • Access vendor billing portals to generate electronic invoice
  • Provide customer service to internal and external customer
  • Assist with various projects that entail analysis and reconciliatio
  • Meet various deliverables for monthly and quarterly financial clos
  • Collaborate with both onshore and offshore teams to meet departmental goals

Qualifications

  • Knowledge and experience in insurance accounting
  • Strong attention to detail
  • Strong organizational and time management skills
  • The ability to communicate effectively with individuals
  • Strong work ethic and the ability to take initiative to work without supervision
  • Technical knowledge of reinsurance terms, contracts, and cash settlement practices
  • Ability to use initiative and self-manage to resolve issues independently
  • Strong computer skills, in particular, proficiency in Microsoft Office suite of applicatio ns,primarily Excel
  • Ability to grasp new concepts, systems and applications quickly and efficiently
  • Candidates need to be flexible with their schedule since shift may change depending on

the needs of the team. Extra time may be required during quarter close and financial reporting close.

Additional Informations

  • BS in Finance, Accounting, Mathematics, Economics, Statistics or related discipline
  • Shift: Night Shift