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  • Sibs Roasts Food Corp.

    Cebu, CebuSalary: ₱20,000 - 25,000 per month

    , expenses, payments) Manage accounts payable & receivable Reconcile bank statements Prepare

  • ECC Foreign Language Institute of the Philippines Inc.

    Cebu, CebuSalary: Agreement

    summary of the monthly bank and petty cash transactions to be submitted to the company's consultant for by keeping financial records, bank deposits, books, and cashbook Files billings and receipts of

  • Duck-IL Korea Inc

    Cebu, CebuSalary: Agreement

    and Makes all other task and Accounting reports.   SPECIFIC RESPONSIBILITIES: Conducts bank reconciliation by balancing the cash record and bank record. Daily reporting to HQ ( cash in bank

  • ISLAND CENTRAL MACTAN (GEEGE Central Mall, Inc.)

    Cebu, CebuSalary: ₱45,000 - 55,000 per month

    Daily Accounting and Cash Activities Monitor daily bank transactions, cash flow, deposits, and petty cash Ensure all cash and bank records are complete and accurate Check vouchers, checks, and

  • Azia Suites Hotel and Residences Inc.

    Cebu, CebuSalary: Agreement

    records  Reconcile bank statements and cash records  Prepare basic financial reports

  • eLink Systems & Concepts Corp.

    Cebu, CebuSalary: ₱14,000 - 15,000 per month

    bank transactions (BP, Transfer, Deposits, and Withdrawal) Facilitate cash disbursement transactions

  • MySource BPO Solutions Phils Inc.

    Cebu, CebuSalary: Agreement

    loss, and other items pertinent to the operation of the business. Reconciling the clients' bank

  • Continuum Mobility Solutions, Inc.

    Cebu, CebuSalary: Agreement

    of monthly bank reconciliations for all accounts of the company not later than the 5th of the recording/adjustment of prepayments Ensures loans payables are reconciled with per bank records

  • KND Resource Management Corp.

    Cebu, CebuSalary: Agreement

    receipts into the accounting system. Account Reconciliation: Reconcile bank statements, accounts

  • Take Whisks Inc.

    Cebu, CebuSalary: Agreement

    Accounts Receivable (AR) transactions Perform bank reconciliations and assist in monthly and year

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