Position/Job Title: ACCOUNTING MANAGER 010Work Location: MAKATIJOB SUMMARY: To handle the following: Accounts Receivables, Inventory, Fixed Assets and Bank
Job Description: Prepare cash and check vouchers.Maintain appropriate filing systems.Assist in billing and collection related activities.Assist in Asset
Job Description: Prepare cash and check vouchers.Maintain appropriate filing systems.Assist in billing and collection related activities.Assist in Asset
QUALIFICATIONS: Must be a Certified Public Accountant (CPA)Experience in internal audit is requiredExperience with one of the top external audit firms is an
Job Responsibilities: Processes and helps in preparing financial statements.Assists in overseeing clients' accounts.Assists in creating, sending, and following
Responsibilities:Responsible for the consignment pick-up and outrightMonitor the customer's repair itemManage the transfer of stock pull-out from store and
Graduate of Accountancy and or any related courses.With at least 2-3 years of background in Accounting fieldProven Supervisory or Managerial level of
Ensure completeness, accuracy, and timely delivery of various Investment Accounting related entries and reports for CPAIC and PALIC including those relating to
Job DescriptionAccountant recoring to reporting.Tax - EWT, Compensation, Fringe benefit, VAT-, ITR.manufacturing - pref but not requiredAssisting staff members
In this role you will:Recognize and perform general bookkeeping procedures using QuickBooks, create journal entries, have strong knowledge of year end
Check the accuracy and validity of transactions prepared by Accounting, Revenue and Treasury employees.Prepare Rank & File PayrollPrepare Bank Reconciliation
Job Title: Australian Tax AccountantWork Set up:1 month pure onsite during trainingHybrid ( 2 days onsite, 3 days WFH )Office Location:ParaƱaque City
Early Dayshift Schedule/ Weekends OffWork from Home (Remote)Independent Contractor/Freelance Set UpRemuneration- Php 60,000 to Php 80,000We are seeking a
Maintain financial transaction records by establishing accounts, posting transactions, and ensuring legal compliance.Develop a chart of accounts that defines
Private Equity Fund AccountantJob DescriptionDaily, monthly, quarterly and annual accounting and reporting functionsReconciling all cash received from
INGCOPH Traders Inc., is the exclusive representative and distributor of INGCO products in the Philippines.Vision Our vision is to exceed the expectations of
Check relevant appropriate documents invoice PO* PR & quotations submitted from other department for accuracy and completeness as required by BIRSubmission of
Requirements:Evaluation and AnalysisConducts initial assessment on the corporate borrower and its major shareholders/directors and lay out the necessary and
Manage all accounting transactions.Publish financial statements on time.Coordinate with employees income tax research and planning.Compute taxes and prepare
GENERAL LEDGER/CLOSING ACCOUNTANT Working Address:One Ayala East Tower, Ayala Avenue Corner EDSA, Makati CityWorking Set-up:Hybrid Set-up (3x work onsite, 2x