Location
Makati
Job Type
Full-time
Posted
June 25, 2026
Job Description
Job Desription
- Prepares bank reconciliation statements
- Prepares & files monthly tax returns such as Expanded/Compensation, VAT
- Prepares lead schedules for certain accounts and consolidates other lead schedules
- Monitors clearing account and performs appropriate action to clear out balances (incl. booking of entries or informing revenue accounting of open items)
- Prepares journal entries for amortization of prepaid expenses and intangibles, accruals of interests, and other monthly recurring transactions
- Records journal entries for inter-company transactions and prepares reconciliation of inter-company transactions and balances
- Prepares monthly PEZA Local Processing
- Coordinates effectively with different groups within Finance and Accounting group and/or other departments to accomplish tasks on a timely manner.
- Inputs data on various SAP Masterfile, which includes vendor masterfile, customer masterfile,...