Responsibilities: Assisting staff members in the preparation of monthly and quarterly accounting reports. Analyzing financial statements to ensure accuracy and
Company InformationJ-K Network Services Unnamed Road Quezon City Metro Manila, Metro Manila J-K NETWORK SERVICES "We deliver the right professionals on the
**Job Highlights** * Start ASAP * Good Work Culture * Allowances and Bonuses **Job Overview** We are an Australian-operated BPO located in Kawit, Cavite. Our
Responsible for Accounts payable Functions by ensuring all billings are processed on time. - Monitor and ensure timely liquidation of cash advances and ensure
Perform financial management duties including generating financial data, compiling and submitting reports, analyzing industry trends and assessing the
**MAIN RESPONSIBILITY**: Warranty Processor make sure the dealership is paid for warranty work by preparing, submitting and following up on claims. As with all
ACCOUNTANT *Working experience is an advantage *Computer Literate *Strong Knowledge of Accounting Software *Demonstrated ability to effectively communicate
Reconciling the company's bank statements and bookkeeping ledgers - Completing analysis of the employee expenditures - Managing income and expenditure accounts
We are looking for an experienced Senior Project Manager to join our passionate team at J-K Network Services in Pasig. Growing your career as a Full Time
POSITION: ACCOUNTING ASSOCIATE FOR E-JEEP BUSINESS (WITH 2 YEARS EXPERIENCE) URGENT NEED!! DIRECT HIRE!! DEMPSEY RESOURCE MANAGEMENT, INC. Monthly Salary PHP:
Job Description: Employees in this Job correct, process and reconcile a wide variety of accounting documents such as invoices, department billings, employee
Job Responsibilities: • Review expenses, payroll entries, invoices, vouchers and other documents to provide adequate and accurate records of all liabilities,
**Duties & Responsibilities** - Developing Organizational Financial Strategy, including risk minimization plans and opportunity forecasting - High-level
Reconciling the company's bank statements and bookkeeping ledgers - Completing analysis of the employee expenditures - Managing income and expenditure accounts
Reconciling the company's bank statements and bookkeeping ledgers - Completing analysis of the employee expenditures - Managing income and expenditure accounts
Reconciling the company's bank statements and bookkeeping ledgers - Completing analysis of the employee expenditures - Managing income and expenditure accounts
Reconciling the company's bank statements and bookkeeping ledgers - Completing analysis of the employee expenditures - Managing income and expenditure accounts
Reconciling the company's bank statements and bookkeeping ledgers - Completing analysis of the employee expenditures - Managing income and expenditure accounts
Reconciling the company's bank statements and bookkeeping ledgers - Completing analysis of the employee expenditures - Managing income and expenditure accounts
Reconciling the company's bank statements and bookkeeping ledgers - Completing analysis of the employee expenditures - Managing income and expenditure accounts