Accounting
Job Summary
Handling accounts payable and receivable including vendor payments and bank reconciliations. Providing support for financial reporting during month-end and year-end closing. Assisting with tax documentation, compliance, and maintaining organized records.
Responsibilities
- Handle accounts payable and receivable
- Reconcile bank statements and follow up on overdue accounts
- Prepare financial reports for month-end and year-end closing
- Assist with tax documentation and BIR/SEC filings
Required Skills
- Accounts payable and receivable
- Bank reconciliation
- Financial reporting
- Tax documentation and compliance
Job Details
Accounts Payable/Receivable: Handling vendor payments, reconciling bank statements, and following up on overdue accounts.
Financial Reporting Support: Preparing reports and reconciliations for month-end and year-end closing.
Compliance & Administration: Assisting with tax documentation, BIR/SEC filings, and maintaining organized digital or physical record