Ensure that all transactions such as Sales and Collection (s) are recorded properly.
Assist the Accounting Manager in closing books of accounts.
Prepare Bank Reconciliation Monthly
Maintain reconciliation of ledgers and subsidiaries
Assist Accounting Manager in coordinating with external and government auditors.
Preparation of reports as may be required by external or government auditors.
Assist and ensure compliance with government requirements such as BIR, SEC and LGU.
Mainly in- charge in the analysis of Financial Statements of Customers.
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