About Get2Work. Get2Work builds and runs offshore teams for operators, not a marketplace and not a call center. You are hired by us, trained in our academy, and placed on a dedicated client account with real management, QA and a path to grow. We are the employer of record, so you get a real job, real benefits and a real floor.

Job Specifications
Department: Finance and Accounting
Employment type: Full-time
Work setup: On-site at a Get2Work hub (Manila, Cebu or Yerevan)
Experience level: Mid to senior
Employer: Get2Work (we are your employer of record)

Job Summary: Reconciliations, month-end close, reporting inside your ERP.

Key Responsibilities:

  • Run reconciliations and the month-end close
  • Prepare financial statements and reporting
  • Support audit and year-end inside the client ERP
  • Uphold accounting standards and controls

Working with AI: Finance is being reshaped by AI that reads documents, codes transactions and flags anomalies. You will run those tools and own the judgment they cannot.

  • Use AI document capture and coding (OCR plus LLM) for invoices, receipts and statements, then review the exceptions
  • Use AI to draft variance commentary and reconciliations, then verify every number
  • Apply anomaly detection to catch errors and fraud signals early

Competencies:

  • Accuracy and a low tolerance for errors
  • Discretion with sensitive financial data
  • Deadline discipline around close and filings
  • Analytical thinking
  • Clear written communication with clients and auditors

Skills:

  • Strong spreadsheet skills (Excel or Google Sheets)
  • Experience with an ERP or accounting platform
  • Understanding of core accounting principles
  • Attention to reconciliation and audit trails

Tools you will use: NetSuite, Sage Intacct, QuickBooks or the client ERP

Education: Bachelor degree in a related field. Certifications relevant to the role are a plus.

Work Experience: Four to six years in the function, with ownership of outcomes.

Key Performance Indicators:

  • Accuracy and error rate
  • On-time close and filing
  • Days sales outstanding or days payable, where relevant
  • Reconciliation and exception clearance

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