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Join our dynamic team where innovation and care converge in a culture that values continuous learning, diversity and transformative career development. Underpinned by THRIVE with Zuellig Pharma, our commitment to transforming the way we grow, care and succeed together as one organization, we are dedicated to helping our people make a meaningful impact in healthcare.

PAM Specialist

Requisition ID:  2324
Posting Start Date:  12 Aug 2026
Location: 

Sta. Rosa, Philippines

 

Zuellig Pharma is a leading healthcare solutions company in Asia, and our purpose is to make healthcare more accessible to the communities we serve. We provide world-class distribution, digital, and commercial services to support the growing healthcare needs in this region.

The company was started a hundred years ago and has grown to become a multibillion-dollar business covering 17 markets with over 12,000 employees. Our people serve more than 200,000 medical facilities and work with over 450 clients, including the top 20 pharmaceutical companies in the world.

 

PURPOSE OF THE ROLE

  • To ensure that closing activities are performed correctly and required management reports are prepared and submitted on time.
  • To assist the Finance Manager in ensuring that policies and procedures of the PAM Department are implemented correctly and consistently and that departmental goals/KRAs are achieved.

 

DUTIES AND RESPONSIBILITIES:

 

  1. Gross Profit Analysis
  • Prepare the gross profit (GP) analysis every month and ensure that sales & cost of sales reports are accurate.
  • Book adjustments whenever necessary or upon advice of Vice President-Finance

 

  1. Maintenance of Commercial Terms Agreement
  • Maintain commercial term agreement in Vistex based on contract
  • Ensure that commercial terms and agreement are properly cascaded to the team
  • Review maintained List Price and related Cost in SAP

 

  1. Reconciliation of Accounts with Principals
  • Provide quarterly balance confirmation to principals and ensure proper sign-off by both parties

 

  1. Account Reconciliation
  • Ensure that monthly reconciliation of Accounts Payable Consignment Clearing, GRIR Clearing & Safekeeping Consignment Clearing and Promo Fund accounts are done and all reconciling items are adjusted accordingly.
  • Ensure that reconciling items are resolved and adjusted on a timely basis.

 

  1. Accounts Payable Processing
  • Ensure that invoices and other documents related to accounts payable and offsets/deductions are timely booked.
  • Ensure submission of payment proposals to treasury at least 1 week before due date for accurate funding and proper bank assignment.

 

  1. Preparation/Checking/Review of Manual Journals (MJ) Debit Notes, and Credit Notes
  • Prepare month-end adjustments such as reclassification of Inventory Revaluation Account and Unbilled Split Margin account.
  • Check/review MJ’s pertaining to accruals, adjustments in Accounts Payable Consignment Clearing Account, GRIR Clearing Account, Safekeeping Consignment Clearing Account, A/P-Trade, Promo Fund reconciliation and other adjustments.
  • Ensure that MJs are prepared and booked according to set deadline.

 

  1. Claims Receivable Processing
  • Ensure that all claims to principal are properly charged based on contract.
  • Ensure that all charges are timely billed to principals
  • Ensure that claims are collected on time or offset/deducted in the schedule of payment

 

  1. Attend principals meetings and address principal concerns and issues properly

 

  1. Coordinate with other departments in aligning with principal accounts management processes.

 

  1. Prepare other schedules as required by immediate superior, management and/or principals.

 

  1. Perform other duties that may be assigned by the immediate superior or VP-Finance from time to time.

 

EDUCATION REQUIRED

 

Graduate of BS Accountancy or any business-related course from a reputable college or university. Preferably, Certified Public Accountant.

 

EXPERIENCE REQUIRED

 

At least 2- 3 years in Accounting in an integrated system environment preferably in a distribution company.

 

KNOWLEDGE AND SKILLS REQUIREMENT

 

  1. Must possess an understanding of procedures and operations in AP and inventory management
  2. Must be familiar with accounting, inventory, sales and warehouse activities and operations.
  3. Must be analytical and accurate
  4. Must have initiative and good judgment
  5. Must have thorough knowledge of all pertinent phases of office work
  6. Must be organized, systematic, flexible and with good interpersonal and communication skills.
  7. Must be computer literate

 

Processing & validation of customer deductions charged to client

Preparation of Schedule of Payment (SOP) to Clients based on commercial terms                                      
Processing & validation of billings to clients based on agreed VAS charges                                               
Reconciliation of AP & AR accounts per client                                                                        
Preparation of adjusting entries for month-end closing & other PAM reports                                              
Posting & allocation of monthly collection of claims payment from clients                                                
Monthly Coordination & reporting with client for GAISET updates                                                      
AP/AR Reconciliation                                                                                              
Monthly preparation of Claims Report & Quarterly AR Aging Report                                                    
Monthly issuance of SOA with clients                                                                                

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Zuellig Pharma promotes an inclusive, fair workplace by ensuring equitable employment and compensation based on merit, regardless of background.