-Prepare daily cash position reports and reconcile bank statements by comparing Statements with general ledger and other related records.
-Maintain accounting databases by entering data into the computer and processing back ups
-Prepare forms for government remittances and pay to SSS, HDMF, Philhealth, etc.
-Prepare financial statements generated from Netsuite or any Accounting Software
-Prepare BIR and SEC Reports
-Recommend and improve the business process
-Protect Organization’s value by keeping information confidential
-Update job knowledge by participating educational opportunities
-Accomplish accounting and organization mission by completing related results as needed