I am a Certified Public Accountant with two years of experience in accounting management and a year as a Financial Analyst. I bring a friendly and approachable demeanor to my work, complemented by a strong sense of integrity and punctuality. I excel in both team settings and independent projects, consistently setting and achieving my goals. My effective listening and communication skills enable me to collaborate seamlessly with others. With a creative mindset, I embrace new challenges and am dedicated to finding innovative solutions. I am well-organized and prioritize effective planning to ensure optimal time management.
Experience: 6 months - 1 year
I provide technical assistance and support towards ensuring that project funds are (a) planned and monitored for implementation of the approved sub-projects and (b) utilized for the purpose, and in accordance with rules and procedures prescribed in the KALAHI-CIDSS finance manuals as well as government budgeting, accounting and auditing laws, rules and regulations. 1.Prepare Monthly Financial Reports such as Journal Entry Vouchers with its corresponding attachments, Schedules, Pre-closing and Post-closing Trial Balance. 2.Prepare Quarterly Financial Statements such as Statement of Financial Position, Statement of Financial Performance, SCNAE, SCBAA and Cash Flow Statement. 3.Maintain and update General Ledgers per account title of KC-PMNP. 4.Check DJ report for KC-NCDDP and KC-PMNP (FUND 102).
Experience: 6 months - 1 year
I provide technical assistance and support towards ensuring that project funds are (a) planned and monitored for implementation of the approved sub-projects and (b) utilized for the purpose, and in accordance with rules and procedures prescribed in the KALAHI-CIDSS finance manuals as well as government budgeting, accounting and auditing laws, rules and regulations. 1.Prepare Monthly Financial Reports such as Journal Entry Vouchers with its corresponding attachments, Schedules, Pre-closing and Post-closing Trial Balance. 2.Prepare Quarterly Financial Statements such as Statement of Financial Position, Statement of Financial Performance, SCNAE, SCBAA and Cash Flow Statement. 3.Maintain and update General Ledgers per account title of KC-PMNP. 4.Check DJ report for KC-NCDDP and KC-PMNP (FUND 102).
Experience: 6 months - 1 year
I provide technical assistance and support towards ensuring that project funds are (a) planned and monitored for implementation of the approved sub-projects and (b) utilized for the purpose, and in accordance with rules and procedures prescribed in the KALAHI-CIDSS finance manuals as well as government budgeting, accounting and auditing laws, rules and regulations. 1.Prepare Monthly Financial Reports such as Journal Entry Vouchers with its corresponding attachments, Schedules, Pre-closing and Post-closing Trial Balance. 2.Prepare Quarterly Financial Statements such as Statement of Financial Position, Statement of Financial Performance, SCNAE, SCBAA and Cash Flow Statement. 3.Maintain and update General Ledgers per account title of KC-PMNP. 4.Check DJ report for KC-NCDDP and KC-PMNP (FUND 102).
Experience: 6 months - 1 year
I provide technical assistance and support towards ensuring that project funds are (a) planned and monitored for implementation of the approved sub-projects and (b) utilized for the purpose, and in accordance with rules and procedures prescribed in the KALAHI-CIDSS finance manuals as well as government budgeting, accounting and auditing laws, rules and regulations. 1.Prepare Monthly Financial Reports such as Journal Entry Vouchers with its corresponding attachments, Schedules, Pre-closing and Post-closing Trial Balance. 2.Prepare Quarterly Financial Statements such as Statement of Financial Position, Statement of Financial Performance, SCNAE, SCBAA and Cash Flow Statement. 3.Maintain and update General Ledgers per account title of KC-PMNP. 4.Check DJ report for KC-NCDDP and KC-PMNP (FUND 102).
Experience: 1 - 2 years
Focus on the inventory management, plan on when to restock, minimize cost as possible to maximize profits. To avoid unnecessary costs that may increase the inventory cost. Mainly, to prepare reports/financial statements that are relevant for forecasting, planning and budgeting. To successfully minimize the inventory cost by 10% lesser than following years. To properly prepare relevant reports for the planning/budgeting. To properly consider all relevant costs and expenses for the price allocations.
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