To work in a company where I can get ample exposure and use my knowledge and skills to ensure
the delivery of all financial and accounting activities involving responsibility and working with other as a
team member to attain advancement and growth for the Company.
Month, Quarterly and Annual Reconciliation of BIR Taxes
Monthly, Quarterly, and Annual Reconciliation of Financial Statements
Monitoring of Day to Day Transactions of the Company
Supervises staff and helping them solving the issues of the unit
Monitoring of Stock Card and Receiving Report
Monitoring of Consumptions of end users
Quarterly IAP and ROP Analysis
Replenishment of Stocks
Monthly Reconciliation of Ending Inventory (Actual Count vs Stockcard)
Evaluates Financial Statements and Assesses Accounts for Accuracy and Compliance
Reporting of Errors and Fraud
Taxes Reconciliation
Preparation and Reporting of Audited Financial Statement to Clients