translate翻訳ツール

機械翻訳のため、内容の正確性を保証するものではありません。
正確な翻訳を希望する場合はこちらからバイリンガルを探してください。
arrow_downward
タイトル
メッセージの内容
タイトル
メッセージの内容
確認
メッセージの内容
Loading..
 

メッセージで相談する

  • schedule ステータス:
    受注可能
  • 評価 :
  • 受注実績 : 0件
  • フィリピン
  • お気に入り : 0件
スキル
その他(管理・運営・テスト)
経理・財務・会計
  • 最終ログイン : 2020-04-10
  • 登録日 : 2020-04-10

職歴

詳細

Collabera Technologies Pvt Ltd - Assigned At Infor, Bonifacio Global Taguig City

Business Analyst

2019/05~ 2020/04

Job Summary:
Responsible for analyzing business requirements & developing detail design specifications for enhancements and new products or modules. He/she serves as the conduit between the customer community and Infor’s internal stakeholders and is involved at some level throughout the entire product development life cycle.
He/she works with development teams to communicate design specifications and resolve problem with designs.
Job Description:
Performs all essential functions of the Dev, Business Analyst above plus the following:
 Breaks down high-level business/user requirements into a functional product design, specified in an appropriate level of detail suitable for use by those who must base their work on it.
 Defines quality specifications, external interfaces, constraints, and other non-functional requirements.
 Participates in requirements prioritization.
 Performs requirements analysis/verification, ensuring that requirement statements are complete, consistent, concise, comprehensible, traceable, feasible, unambiguous, and verifiable, and that they conform to standards.
 Participates in design reviews and other work product documents derived from requirements specifications to ensure that the requirements were interpreted correctly.
 Evaluates, incorporates and documents product change orders throughout the software development life cycle.
 Identifies potential technical problems or design flaws so that preventive action can be taken.
 Identifies usage patterns/entity relationships and abstracts them to common, reusable components.
 Exhibits innovation in the development of new/improved methods or approaches to problems.
 Analyzes customer feedback and collaborate to determine how requests fit into product development.




 Ensures that product designs successfully fulfill the needs that are defined in the business requirements.
 Creates and deliver presentations to various internal/external user communities with varying levels of product knowledge.
 Provides domain knowledge/product knowledge to development and QA teams.

Sun Life Financial

Financial Analyst

2012/02~ 2019/02

Job Purpose:
The position proactively maintains financial integrity through performance of complex account
reconciliation functions for SLOCPI, SLFPI and SLGFI in-scope accounts; includes (a) comprehensive
understanding of the underlying business processes to ensure that appropriate internal controls are in
place and that the business activity is recorded in accordance with the generally accepted accounting
principles; (b) identification and resolution of accounting and control issues related to business and
process change; (c) ensure accuracy of information through monthly reconciliation analysis and
preparation of comprehensive reconciliation reports; (d) in conjunction with management, identifies
control issues within the company and participates in the creation of solutions and implementation of
new procedures; (e) translation of streamlined processes to an updated and complete ISO
documentation.

Major Accountabilities:
 Prepares comprehensive monthly reconciliation of balance sheet accounts assigned by the section head and maintain their reconciled and current status in accordance with the Corporate Accounts Reconciliation Guidelines & Standards. These reconciliation reports define the accuracy and completeness of validation that the reconcilers perform before the reconciliation package is
prepared, with the critical end-objective that the accuracy of postings in the accounts would impact the whole company’s financial statements;

 Proactively identifies risks and resolve any accounting and control issues based on these risks; this
includes coordination with different departments of the clearing items affecting the reconciliation,

 elevation of complex issues to management for prompt resolution and definition of action items and time lines when to resolve the issues;

 Provides management useful and accurate financial information as required by CFO, internal and external auditors and the Insurance Commission. Standard reports to deliver include supporting worksheets for the Annual Statements, Aging Reports for Receivables and Payables, Lapsing Schedules for Fixed assets, Aging and Analysis of Stale Cheques and Monthly P&L Summary Reports.

 Initiates process improvement and partners with Systems Development and Support through
Finance projects as required. The support provided covers business requirement definition, test
strategy development, test guide preparation, test cases development, actual users testing and
completes the process through implementation in production;

 Analyzes operational and management processes, a s well as effectiveness and efficiency of feeder system’s behavior and controls, in view to improve them and propose value added recommendations;
 Fully and completely understand the business processes related to their assigned in-scope accounts and be able to document them for organization and procedural controls, i.e. ISO documentation;

 Participates in routine fixed asset physical inventory count to provide check and balance on establishing validity and existence of assets if necessary.