In my role as a Junior Accounting Assistant for more than 2 years, I have proved myself to be an efficient employee. I was mainly responsible for the checking of our daily sales report; reconciliation of credit cards against payments; reconciliation and preparation of our SSS, PHIC, and HDMF Premium and loan payments; and also for the preparation of VAT listings for BIR reportorial. As for my other previous job as an Accounting Analyst for more than a year, I was responsible for our salesmen's revolving fund replenishment, receiving of payments in cash and credit, disbursement of checks, and consolidation of our finished goods inventory, and I also assist our accounting supervisor with the preparation of other needed financial statements for reports.