Job Description

**Meet the Team**

The Cisco Capital accounting team is responsible for the end-to-end financial management of Cisco's customer financing portfolio, including leases, loans, and other financing solutions. The team ensures accurate accounting, timely financial reporting, and compliance with relevant accounting standards and regulatory requirements. Working collaboratively with business partners and auditors, the group supports account reconciliations, revenue recognition, and audit processes, playing a key role in maintaining financial integrity and supporting Cisco Capital's business growth.

**Your Impact**

You will be responsible for handling the local GAAP/statutory accounting and reporting associated with Cisco Capital’s financing and credit extension entities in APJC. This will include providing input on accounting issues, reconciling account balances, maintaining local ledger balances, filing of periodic financial reports and tax returns, coordinating tax...

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