Facilitate the cost reconciliation process with assigned entities as part of the month end procedure
Ensure that cost reconciliation with assigned entities is conducted in a timely manner
Reconcile inventory-related discrepancies with Operations and Purchasing to ensure
accurate entries in Navision
Ensure timely update of system entries for assigned entities
Ensure all entries are reconciled
Run and analyze unit costs to ensure accuracy
Facilitate system adjustment to correct or reverse entries
Must be:
College graduates with a degree in any of the following: Accounting, Industrial Engineering, or Finance.
Has an analytical mind.
Goodcommunication skills both written and verbal.
Knowledge in NAV (Navision).
Detailed and desire to probe further into data.
Job Type: Full-time
Pay: Php17,
- 00 - Php30,000.00 per month
Benefits: - Company events
Employee discount- Opportunities for promotion
Promotion to permanent employee
Schedule:
Supplemental Pay:
* Overtime pay
Application Deadline: 05/31/2024