
Finance Operations Analyst (Product Controller), Chase Travel at JPMorgan Chase
About the role
Make your mark by supporting accurate financial reporting and disciplined controls for a fast-moving travel business. Join a collaborative team where your accounting and tax expertise helps keep operations running smoothly. You’ll gain broad exposure across close, reporting, vendor payments, and compliance activities while partnering with stakeholders across the business.
As a Finance Operations Analyst (Product Controller) in the Chase Travel, you support day-to-day accounting operations, period close activities, and financial reporting. You help ensure vendor payments are processed accurately and on time while maintaining complete and audit-ready documentation. You also support tax compliance activities and related filings aligned with local requirements. You collaborate with teammates and business partners to resolve breaks, improve processes, and deliver timely, reliable outputs.
Job responsibilities
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Apply customer and vendor payments in subsidiary ledgers (e.g., client balances, vendor balances, credit card merchant receivables)
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Prepare, post, and review journal entries across subsidiary and general ledgers, including accruals, reversals, and corrections
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Perform bank reconciliations and investigate variances to resolution
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Execute end-of-period close activities and meet reporting timelines
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Prepare financial reports, account schedules, and trend analyses (including gross travel value, operating expense, and balance sheet schedules)
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Support vendor onboarding/endorsement and payment processing, including travel-related vendors (e.g., airlines and International Air Transport Association (IATA) processes where applicable)
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Support preparation of annual audited financial statements and respond to audit requests
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Prepare and/or support required indirect and withholding tax filings and certificates in line with local requirements (e.g., BIR forms such as 2307, 0619E, 1601EQ, 1601FQ, 2550Q)
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Provide ad hoc accounting support to related operations as needed (e.g., Travel Partners and other regional teams)
Required qualifications, capabilities, and skills
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Certified Public Accountant (CPA)
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Minimum 3 years of general accounting experience supporting the Philippine market
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Experience with month-end close, reconciliations, and preparation of supporting schedules
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Working knowledge of Philippine taxation requirements (including value-added tax and withholding taxes)
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Experience preparing tax returns and compliance submissions aligned to local requirements (e.g., e Submission and related attachments)
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Strong proficiency in Microsoft Excel (e.g., pivots, lookups, reconciliations)
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Strong attention to detail with a demonstrated ability to meet deadlines
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Clear written and verbal communication skills and ability to partner across teams
Preferred qualifications, capabilities, and skills
- Experience supporting finance operations in the travel industry
- Experience handling travel-related vendor processes (e.g., airline and IATA-related workflows)
Required skills
accounting
financial reporting
controls
reconciliation
About JPMorgan Chase
Metro Manila
Headquarters