Position SummaryThe Property Accountant responsible for managing financial records, reconciling accounts, and preparing financial reports for properties.Duties
Manage all accounting transactionsPrepare budget forecastsPublish financial statements in timeHandle monthly, quarterly and annual closingsReconcile accounts
Processing of Credit Memo/Debit Memo (reallocation of payments) Reviewing of unallocated payments on active and closed accounts Reviewing and
Assist the Internal Audit Unit Head to evaluate the internal control and audit reviews of the company's business process.Assist the Internal Audit Unit Head in
Job Summary The Billing and Collection Assistant is responsible for providing support to the billing and collection team in ensuring accurate billing
Manual recording of transactions to Books of AccountsAssist with filing of various documents related to Payables, Receivables, Billing and Taxation.Process
Executive search firm Monroe Consulting Group Philippines is recruiting on behalf on behalf of an American multinational company, with products sold in over
Perform numerical analysis to evaluate financial data, identify trends, and assess performance against benchmarks.Conduct variance analysis to understand
Monitoring of all accounts (Off and On Premise Accounts)Regular update of Billing and SOAs for all accounts.Daily follow up of payments for all over due
Manage Cash Receipt Register & Accounts Receivable Subsidiary Ledger and ensure that records are reconciled with General Ledger (Includes Encoding of Cash
Participate in various audit projects for DCCD Engineering Corporation, a leader in the Construction & Engineering Industry. Examine financial records to
Plans, organizes, and controls the operation and activities of the work unit, prepares and secures approval of the budget in support of such operations and
Handle operational audit of different departments.Bank reconciliationsTransaction audit
Handles documentary requirements for bank accounts, enrolment and maintenance of Internet banking, fund transfers to and from the Head
As an ACCOUNTINGING MANAGER, you will:Supervise the day-to-day accounting operations including approvals of accounting documentsPrepare financial
1. Bookkeeping Services: Conducts accurate and timely bookkeeping services, ensuring proper documentation and recording of financial
MAIN FUNCTIONS: The Accounting Staff Receivables is responsible for the updating of
Monitors and reports the service levels of the servicing functions of Finance.Monitor the companys liquidity and ensure enough cash is available to settle the
Perform the reconciliation of the following:Bank Accounts (AR side)ReceivablesAffiliated companies accountsResponsible for preparing the journal entries
Prepare and manage monthly reports to submit to the ManagementPrepare and manage regulatory registration and compliance, including but not limited to company