Organize and update financial records as needed (digital and physical)- Analyze transactions and prepare reports
Perform regular, detailed audits to ensure accuracy in financial documents, expenditures and investments
- Forecast revenue and analyze profit margins
Oversee ledger reconciliation and manage accounts payable/receivable- Participate in budgeting processes
Brief senior managers regularly on the company's financial status
- Liaise with Tax Accountants to track tax payments and returns
Monitor bookkeeping activities regularly- Keep company financial information confidential
Establish accounting policies and procedures
- Stay informed on industry developments and changes in regulations
* Knowledgeable in taxation, BIR process and filing etc.
Job Type: Full-time