ACCOUNTING STAFF
Preparation of Cash Disbursement Book. Reclassification of Entries and posting of adjustments.
Preparation of Final Sales.
Preparation of Cost of Goods Sold.
Checking of Books of Accounts & Financial Statements.
Check Bank Reconciliation.
Check and post/reverse entries in the Journal Book.
Prepare and check entries in the Trial Balance.
Prepare adjustments and check the Income Statement.
Prepare adjustments and check the Balance Sheet.
Comparative Income Statements.
Reconciliation of remittance & billings.
Qualifications/Requirements: Finance/Accountancy graduate. At least 1 year experience as Accounting and/or Bookkeeping. Familiarity with bookkeeping, financial statements, and accounting procedures. Ability to work onsite in Ortigas, Pasig. Can start ASAP.