Fresh Graduate can apply.... Computer literate Will prepare voucher Bank Reconciliation BIR Compliance Other accounting related task **Salary**: Php14,654.00 -
Handles fund management and oversees payment transactions. **Duties and Responsibilities** - Handles daily, weekly, monthly and annual cashflow monitoring -
CPA is an advantage - Expertise in MS Excel - Project cost accounting - Knowledgeable in QNE Business Solution Software or other software is an advantage -
Preferably CPA - Expertise in MS Excel - Knowledgeable in QNE Business Solution Software or other software is an advantage - With work experience in
Position Title**:INTERNAL AUDIT ASSISTANT** Department: Audit Reports to: Audit Manager Graduate of BS Accountancy Preferably with experienced - Job Summary: _
**WE'RE URGENTLY HIRING** **Direct Sales Bancassurance Sales Executive (DS-BSE)** BASIC PAY+ALLOWANCE+COMMISSION **Minimum Job Requirements**: - Bachelor's
JOB DESCRIPTIONS: Prepares bank reconciliation & financial statement Prepares check vouchers & deposits Prepares Payroll & billings Assist audit, audit field
JOB DESCRIPTIONS: Prepares bank reconciliation & financial statement Prepares check vouchers & deposits Prepares Payroll & billings Assist audit, audit field
JOB DESCRIPTIONS:Prepares bank reconciliation & financial statementPrepares check vouchers & depositsPrepares Payroll & billingsAssist audit, audit
JOB DESCRIPTIONS:Prepares bank reconciliation & financial statementPrepares check vouchers & depositsPrepares Payroll & billingsAssist audit, audit
Job summary Accounting Clerk responsibilities include keeping financial records updated, preparing reports and reconciling bank statements. You will also run
We are searching for a proactive Relationship Manager to join our high calibre team at Philippine Business Bank in Philippines. Growing your career as a Full
Contributes to the overall sales acquisition and customer service strategy of the store focused on the acquisition of new to-bank clients by selling all CASA
Responsibilities Perform day to day accounting and bookkeeping tasks as required Reconcile all restricted cash accounts periodically, including bank