Finance Specialist managing accounting and financial reporting processes at Manulife. Collaborating with teams to ensure accuracy and efficiency in finance operations.
Responsibilities
Prepare journal entries and manage accounting/reporting for inter-company, interdivisional, and overhead expense allocation accounts.
Monitor suspense accounts and support management and financial reporting needs.
Perform month-end closing activities, including journal entry uploads and reconciliation of accounts and balance sheet items for regulatory requirements.
Support management reporting for internal and external stakeholders.
Perform bank, intercompany, and system reconciliations to ensure completeness and accuracy of financial data.
Conduct peer-to-peer reviews to ensure accurate and timely submission of outputs to business units.
Propose and implement automation initiatives to improve accuracy and contribute to cost efficiency.
Work closely with managers and cross-functional teams to identify operational efficiencies aligned with business strategy.
Requirements
Must have a degree in Finance or Accounting, CPA is preferred.
4 - 7 years of working experience with progressive responsibility within the general accounting and management reporting field, at least 3 of which internally with an international organization or Shared Service Center.
Proficient in Microsoft Excel, MS Access, Business Objects applications, Lawson, Hyperion Essbase.
Experience in process migration is a plus.
Has strong attention to details and can work independently.
Good command of written and oral English.
Benefits
We’ll empower you to learn and grow the career you want.
We’ll recognize and support you in a flexible environment where well-being and inclusion are more than just words.
As part of our global team, we’ll support you in shaping the future you want to see.
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