Handles Payables (preparation of check and encoding in system)- Handles Receivables (reconciliation and encoding of account receivable and -payments)- Bank
**BOOKEEPING**1. Record daily financial transactions of the branch office2. Maintain all finance related records of the company3. Issue delivery receipts and
Responsible for Accounts payable Functions by ensuring all billings are processed on time.- Monitor and ensure timely liquidation of cash advances and ensure
**DUTIES AND RESPONSIBILITIES: Dealer Coordinator****NEW BUSINESS**- Calculates New Business amount covered and rates- Calls the Marketing Professional for
In-charge in preparation of check voucher and issuing of check of the Company account.- Releasing checks- Encoding AR- Checking AR- Maintain the filing of
The Treasury Analyst will: (i) provide critical analytical, technical and operational support in the documentation of new borrowings, buybacks and derivative
**About Lifesports Inc.**:Lifesports Inc. was established with a clear purpose in mind: to promote sports, wellness, and a healthy lifestyle. We aim to elevate
Prepares bills and invoices- Maintain account and sales accuracy- Encoding and monitoring sales/collections per account- Preparation and checking of bank
Staff Accountant responsibilities- Prepare accounting related entries to numerous registers, journals and logs- Follow our company's established accounting
URGENT! URGENT! URGENT!Account Master Global Solution is in need of an Accounting Staff who is a BS in Accountancy, Accounting Management or Banking and
_**ComWorks - Is a leading information communications technology company that provides products and solutions for corporate, home, SME and consumer markets
Client Services Assistant Manager (Healthcare Account) Acts as the main point of contact for both Client and Company. Works with entire team to coordinate all
Monitor daily all areas of performance metrics (call handling times, service levels & quality grades) to ensure that standards are met across the board
**About Security Bank**We are the Philippines' largest independent bank, having won countless awards over the years, including one of Euromoney's most
The Corporate Banking Service Assistant is responsible for assisting the Relationship Manager in the implementation of loan transactions and customer servicing
The Finance Specialist is responsible for performing clerical task that includes processing and recording transactions, preparing reports, communications
Job Summary: Provides and ensures timely cash management, disbursement, collections, bank transactions, accuracy and completeness of treasury reports.**Job
The Corporate Service Banking Assistant is responsible for assisting the Relationship Manager in the implementation of loan transactions and customer servicing
**GENERAL RESPONSIBILITIES**- Manage the day to day tasks of the Accounting function in the property- Bookkeeping Function in the absence of Accounting
Responsible for bank statement and bank reconciliation- Checks the check vouchers prepared by the Accounting Assistant- Checks the monthly payments and