Job Description
Responsibilities
- Provides support in reviewing and validating checks and vouchers to ensure accuracy and completeness before monthly disbursements.
- Knowledgeable in BIR, SSS, HDMF and Philhealth transactions.
- Prepares monthly Government Remittances (BIR, SSS etc.)
- Prepares and processes Company Payroll
- Prepares and updates monthly bank reconciliation statements to ensure accuracy of financial records.
- Ensures proper recording, monitoring, and reconciliation of all accounts payable activities.
- Other Accounting-related matters
Qualifications
- Graduate of BS Accountancy.
- Must have at least 1–2 years of experience in an accounting work environment.
- Strong background in the various aspects of accounting.
- Exhibits strong analytical thinking and effective communication skills, along with a sharp eye for detail.
- Demonstrates initiative and ope...
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