A qualified candidate must be a graduate of BS Accountancy, Accounting Tech, or Banking and Finance.
- Updates monthly financials and any related reconciliations;
- Reconciles bank statements;
- Monitors and maintains a subsidiary ledger and prepares monthly and cumulative reports;
- Ensures that all accounting transactions are properly classified according to the chart of accounts;
- Manages proper documentation, filing, and updating of the cash receipts, returned or used checks, passbooks, and deposit slips; and
- Performs other tasks as assigned by his/her immediate superior.
Job Type: Full-time
Benefits: - Paid training
Pay raise
Schedule:Supplemental Pay: Overtime pay