Prepare accurate tax returns in compliance with regulations. Organize and update the company's tax database. Recommend tax strategies that align with business
The essential functions include, but are not limited to the following: Collecting, reviewing, organizing, and filing tax paperwork Data
Finance ControllerWork Set up: Hybrid (twice a week remote work and three times per week office based in Angeles, Clark, or Makati Office)Work Shift: Monday to
Oversee and manage all general accounting activities for Acclime Philippines Inc. Ensure accurate and timely monthly and year-end closings. Develop strong
The client is seeking an experienced accounting professional for the role of Senior Manager, FSS AP, Expenses, & Accounting Operations, to play a critical
Are you an experienced accountant or bookkeeper ready to upgrade your career? Nows your chance to join the biggest accounting software company in the
ResponsibilitiesAct as the primary point of contact in the Philippines for Australian clients, fostering strong relationships to support client
Preparation and Filing: Prepare and review federal, state, and local tax returns for individuals, corporations, partnerships, and other entities.Ensure
Prepare accurate financial statements in accordance with regulations.Conduct monthly reconciliation of all accounts to ensure accuracy.Manage AP/AR, payroll,
- Prepare accurate financial statements in accordance with regulations.- Conduct monthly reconciliation of all accounts to ensure accuracy.- Manage AP/AR,
Review and ensure completeness of submitted documentsPrepare disbursement vouchers / debit advice for payment requests on utilities, claims benefits, refunds,
Oversee financial operations for Archipelago Philippines Ferries in the dynamic transportation and logistics industry. Manage budgets, forecast financial
Oversee all financial aspects of the company's operations, ensuring compliance with accounting principles and regulationsPrepare financial statements, reports,
Maintain an accurate record of financial transactions.Daily recording of transactions (e.g. Disbursements and Petty Cash)Update and maintain the general
Prepare bank and other balance sheet reconciliationsPayroll reconciliationsAnalyze and summarize client information to prepare financial reportsInteract with
Manage accounting transactionsManage balance sheets and profit/loss statementsReconcile accounts payable and receivableEnsure timely bank paymentsReconcile
Our team of specialists and technical experts provide independent assurance for financial statements, professional advice to management, and solutions to
Take ownership of the payroll processing workflow and tasks necessary to accomplish accurate and timely payment to all weekly and biweekly employees.Update
Handles daily account operations including AR, AP & inventory matching, prepare invoice, data entry, & filing Performs monthly bank reconciliation
Prepare regular financial updates to top management by evaluating, analyzing, and reporting appropriate data pointsImplement and strengthen the accounting