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Cash, Currency & Hedging Analyst

職位類別:
發佈日期:
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ID:
2607045611W

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Kenvue 目前正在招聘 a:

Cash, Currency & Hedging Analyst

我們做什麼

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我們的全球團隊由 ~ 22,000 名才華橫溢的員工組成,他們的職場文化中,每個聲音都很重要,每一個貢獻都受到讚賞。 我們熱衷於洞察, 創新並致力於為我們的客戶提供最好的產品。憑藉專業知識和同理心,成為 Kenvuer 意味著每天有能力影響數百萬人。我們以人為本,熱切關懷,以科學贏得信任,以勇氣解決——有絕佳的機會等著您!加入我們,塑造我們和您的未來。有關更多資訊,請按兩下 here.

Role reports to:

Team Lead - Cash Currency and Hedging

位置:

Asia Pacific, Philippines, Metro Manila, Taguig

工作地點:

混合

你會做什麼

The Cash, Currency & Hedging Analyst is part of the global Finance Operations team of Kenvue and is responsible for ensuring the complete and accurate reporting of bank balances, foreign currency–denominated transactions, and hedging activities. The key responsibilities include analyzing bank transaction activity, posting journal entries for bank and hedge transactions, performing foreign currency revaluations, and preparing and maintaining monthly account reconciliations.

As a member of our Finance Operations team, you will have exclusive access to a network of financial professionals worldwide, helping you build on your current skills and explore opportunities to grow your career.

Key Responsibilities:

  • Act as Process Owner and Subject Matter Expert (SME) for cash and bank accounting processes.

  • Ensure timely and accurate period close in accordance with the closing calendar, SLA commitments, and Compliance, Internal Audit, and SOX requirements.

  • Perform and review cash transactions and balance sheet reconciliations to ensure accuracy and to minimize outstanding items.

  • Maintain strong internal controls and ensure readiness for internal and external audits.

  • Accountable for the completeness, accuracy, and validity of financial reports within the assigned scope.

  • Support internal and external audits by preparing and providing required documentation and responses.

  • Drive standardized process improvements and support continuous improvement initiatives aligned with global standards.

What We Are Looking For

Required Qualifications:

  • Bachelor’s degree or equivalent, preferably in Accounting, Finance, or related business discipline.

  • 0–2 years of experience in financial reporting, general accounting, and/or intercompany accounting.

  • Proficiency in Microsoft Office applications, with strong skills in MS Excel.

  • Willingness to work mid shift in general, to be able to support LATAM markets.  Would require night shift work during closing periods.
  • Strong analytical skills with high attention to detail and a strong compliance-oriented mindset.

Preferred Qualifications

  • Experience in a Shared Services Center of a multinational organization or in a Business Process Outsourcing (BPO) environment.

  • Proven experience in bank account and cash balance reconciliations.

  • Proficiency in ERP systems (SAP preferred)

  • Strong understanding of US GAAP accounting principles and SOX compliance requirements.

  • Demonstrated ability to manage multiple priorities, maintain strong organization, and meet tight deadlines.

  • Experience with digital or intelligent automation tools and process optimization initiatives.

What’s In It For You

  • Competitive Benefit Package
  • Paid Company Holidays, Paid Vacation, Volunteer Time & More!
  • Learning & Development Opportunities
  • Flexible Working Arrangement
  • Employee Resource Groups 

Kenvue is proud to be an Equal Opportunity Employer.  All qualified applicants will receive consideration for employment without regard to race, color, religion, sex, sexual orientation, gender identify, age, national origin, or protected veteran status and will not be discriminated against on the basis of disability.

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