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TSG Outsourcing
Cebu, CebuSalary: Agreement
collections processes using NetSuite. Perform month-end close activities, including bank account . Strong understanding of month-end close processes, including reconciling bank accounts, booking accruals, and reconciling balance sheet accounts.
Iresponse Business Solutions Inc.
Cebu, CebuSalary: PHP 20,000
client-facing software in the tech stack. Perform bank reconciliations with some help to resolve discrepancies. Accurately categorize bank transactions with some guidance. Carry out any process with
Roz Laboratories Inc.
Cebu, CebuSalary: ₱20,000 - 30,000 per month
: Record and reconcile financial transactions, including sales, expenses, and bank statements. Prepare
Noon Dalton, Phils.
Bohol, Cebu, CebuSalary: ₱22,000 - 25,000 per month
recording accounts receivables' data. Preparing bills receivable, invoices and bank deposits and financial records. Knowledge of preparing bills, invoices, credit notes, and bank deposits
Mactan Rock Industries, Inc.
Cebu, CebuSalary: Agreement
. To do Bank reconciliation of A/R and tax records. Must be able to effectively communicate with
Diamond Interior Industries Corp.
Cebu, CebuSalary: Agreement
, purchasing and bank recon is a definite advantage. Knowledgeable of different accounting programs and
Starbreaker Corp.
Cebu, CebuSalary: ₱18,000 - 20,000 per month
. Administers bank deposits and sales reporting according to policies and procedures. Specifically
Digitalhomeph Incorporated
Cebu, CebuSalary: Agreement
incoming cash and ensure timely deposits at the bank. Monitor and maintain accurate records of daily financial transactions. Reconcile bank statements and other accounts regularly. Prepare journal
Johndorf Ventures Corporation
Cebu, CebuSalary: Agreement
. Bank Liaison Facilitate banking transactions such as deposits, withdrawals, fund transfers, deliver bank documents, Postdated Checks (PDCs) to banks with PDC warehousing agreement, and other banking
Digitalhomeph Incorporated
Cebu, CebuSalary: Agreement
ledger of accounts of the company Record incoming cash and deposit at the bank Keep track of daily financial transactions of the company Reconcile bank and other accounts Make journal entries for all
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