Accounting Assistant
Makati City - Philippines
Job Summary
At Asiacruit we connect top talent with forward-thinking organizations across industries. Our mission is to help businesses grow through smart strategic and people-focused solutions. We support companies by providing high-quality Philippine-based talent for local and global markets. If you are organized detail-oriented and committed to maintaining accurate financial records we invite you to apply.
We are seeking an Accounting Assistant to support accounting financial reporting and administrative activities within the insurance and accounting industry. This role will assist with accounts payable accounts receivable account reconciliations invoice processing payment tracking journal entries financial schedules and month-end close activities.
The ideal candidate has a strong foundation in accounting excellent attention to detail and the ability to manage financial information accurately and confidentially. This position will work closely with accounting finance insurance claims underwriting billing and operations teams to support timely and reliable financial processing.
Assist with maintaining accurate and complete accounting records in accordance with company policies and applicable accounting principles.
Process and record routine accounting transactions including invoices receipts payments deposits journal entries and adjustments.
Review accounting documentation for completeness accuracy appropriate approvals and proper account coding.
Assist with maintaining the general ledger and subsidiary accounting records.
Prepare account schedules transaction summaries aging reports and other financial information as assigned.
Support the accounting team with administrative tasks special projects and process improvement initiatives.
Process vendor invoices expense reports payment requests and other accounts payable documents.
Match invoices to purchase orders contracts receipts policy records or other supporting documentation.
Monitor invoice approvals payment schedules outstanding balances and vendor inquiries.
Record customer receipts insurance-related collections refunds and other accounts receivable transactions.
Assist with preparing customer statements payment applications collection reports and accounts receivable aging schedules.
Research and resolve discrepancies involving invoices payments customer balances vendors carriers and internal records.
Communicate with vendors customers carriers and internal departments regarding account and payment questions.
Assist with recording and reconciling insurance-related transactions including premiums commissions claims payments recoveries refunds and carrier settlements.
Review policy billing claims underwriting and payment records for accuracy and completeness.
Support the reconciliation of insurance subledgers carrier statements policy administration systems claims systems and general ledger accounts.
Assist with tracking policyholder balances premium receivables commission payables claims activity and other insurance-related accounts.
Investigate differences between accounting records operational reports policy information claims data and supporting documentation.
Maintain organized documentation for policyholders customers vendors carriers and other business partners.
Coordinate with accounting finance underwriting claims billing and operations teams to obtain information and resolve discrepancies.
Prepare and maintain bank credit card accounts payable accounts receivable carrier and general ledger reconciliations.
Research reconciling items unusual balances duplicate transactions missing entries and aged outstanding items.
Assist with month-end and year-end close activities including accruals prepaid expenses reclassifications and cutoff procedures.
Support the preparation of balance sheet schedules income statement reports cash reports and management reporting packages.
Perform basic variance analysis and investigate changes in expenses premiums claims commissions cash balances and other financial metrics.
Assist with gathering information for financial audits tax filings regulatory reporting and internal reviews.
Maintain accurate electronic and physical accounting files records invoices reports and supporting documentation.
Follow established accounting procedures approval workflows payment controls and document retention requirements.
Assist with monitoring transaction approvals segregation of duties account reconciliations and other internal control activities.
Identify missing information processing errors control issues and opportunities to improve accounting processes.
Provide organized documentation and explanations for internal and external audits or financial reviews.
Maintain the confidentiality and security of financial customer policyholder claims employee and business information.
Perform other accounting reporting and administrative duties as assigned.
Associate degree or bachelors degree in Accounting Finance Business Administration or a related field.
1 year of experience in accounting bookkeeping accounts payable accounts receivable finance or a related role.
Working knowledge of basic accounting principles double-entry accounting debits and credits and general ledger activity.
Understanding of accounts payable accounts receivable invoicing payment processing and account reconciliations.
Basic understanding of insurance accounting transactions including premiums commissions claims recoveries and carrier payments.
Proficiency with Microsoft Excel including formulas sorting filtering and basic data analysis.
Experience using accounting software enterprise resource planning systems billing platforms or financial reporting tools.
Strong attention to detail and commitment to accuracy when processing financial transactions and reviewing documentation.
Ability to organize records manage priorities meet deadlines and follow established procedures.
Strong English communication skills both written and verbal.
Ability to handle confidential information with discretion and professionalism.
Experience in the insurance accounting public accounting financial services or professional services industry.
Experience processing insurance premiums claims commissions carrier statements policy-related payments or customer refunds.
Experience with accounting software such as QuickBooks NetSuite SAP Oracle Microsoft Dynamics Xero or similar systems.
Familiarity with U.S. Generally Accepted Accounting Principles (GAAP) International Financial Reporting Standards (IFRS) statutory accounting principles or insurance accounting practices.
Experience with bank reconciliations month-end close financial reporting audit support or expense tracking.
Progress toward an accounting bookkeeping finance or related certification.
Advanced Excel skills including pivot tables lookup functions and financial data analysis.
Join a collaborative team supporting accounting and financial operations for organizations in the insurance and financial services industries.
Develop practical experience across general accounting insurance transactions reconciliations accounts payable accounts receivable and financial reporting.
Build valuable technical organizational and analytical skills through exposure to diverse accounting processes and business operations.
Make a meaningful impact by helping organizations maintain accurate records timely payments and reliable financial information.
Receive competitive compensation and opportunities for professional development and career growth.
Work in a supportive international environment with exposure to cross-functional teams and industry professionals.