-Prepares corresponding accounting (journals
/adjustments) entries to record all transactions after audit
-Leads and performs daily audit to determine accuracy of
all company's transactions, revenues, documentations and
balancing accounts of each day.
-Monitor all banking activities in order to detect irregularities.
- Investigate all bank transactions in order to prevent fraud.
- Prepare monthly bank reconciliation reports regarding all cash deposits to the bank
- Reconcile and rectify all ledger accounts belonging to customers.
- Reconcile accounts that fall into receivable records with the sales invoices.
-Analytical and critical thinking.
- Accuracy and attention to
details.
-Problem analysis, use of
judgement and ability to solve
problems efficiently.
-Good communication skills.
-Proficient in MS Office, Workday,
Birchstreet & SCM systems
Throughout the course of my career, I have perfected my accounting abilities. I am also capable and consistent problem-solver, skilled at prioritizing and managing projects with proficiency. In my role, I contributed decision-making and critical thinking towards team efforts and business improvements. I am progressive minded and in tune with new developments in my field. I have proven to be effective and collaborative with strong innovation talents. I enjoy collective brainstorming sessions which all me to coordinate activities to achieve a common goal.
“They're not only loyal and hardworking, they're super detail oriented!”
- Travis OVAAnswers
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