. Keeping accurate records for all daily transactions
· Preparing balance sheets
· Update internal systems with financial data
· Track bank deposits and payments
· To process all petty cash requests and input transactions
· Prepares general ledger entries by maintaining records and files; reconciling accounts.
· Manage cash controls as well as maintain book keeping up-to-date.
· Oversee the preparation of all financial statements, invoices, proposals, etc. as required.
· Ensure account receivables and payables activities are performed accurately and timely
· Ensure that financial transactions are properly updated and recorded.
· Update financial records with recent transactions and changes.
· Perform finance analysis, reporting and management tasks.
· Identify and resolve invoicing issues, accounting discrepancies and other financial related issues.
· Review financial paperwork and procedures and make appropriate changes
· Receives and verifies purchase orders and requisitions for goods and services
· Verifies that transactions comply with financial policies and procedures
· Processes backup reports after data entry
· Prepares manual checks if necessary
· Maintains listing of accounts receivable
· Sorts documents by account name or number and processes invoices for payment
· Prepares statements, invoices and vouchers
· Ensures the confidentiality and security of all financial and employee files
· Performs other clerical duties associated with accounts receivable
· Assist in month- end financial statement close
· Provide Accounting and clerical assistance to Accounting Department
· Performs Daily Routine such as:
- Prepare cash/cheque deposit
- Check Emails
- Prepare and monitor messengers itinerary schedule
- Encoding and ensuring accurate data in the system
- Accept payments/issuance of Collection Receipts
· Sorting and Filling of Accounting documents
· Respond to queries related to Accounting via email and phone
· Monitoring Accounts receivable, reconcile accounts in a timely manner
· Responsible for the collection of overdue accounts, generate customer aging
· Contact customers to notify delinquent accounts, set and email payment remainders
· Processing and clearing of customer payments
· Update Management regarding collection activities
· Identify and resolve payment discrepancies and other financial issues
· Coordinate with other Department for smooth functioning
· Multitask and manage time effectively
· Daily posting of Sales invoice together with the collection receipts in brown envelope
· Keep tracking and monitoring of the Accounting paper usage (Sales Invoice, Delivery Receipt, Counter Receipt, Collection Receipt, Service Report Form, Order Form, Sample Request Form, Petty Cash Form)
· Filing of Sales Invoice in white envelope (Storage room)
· Scan Sales Invoice with Deliver Receipts and Waybill (Monthly filing)
· Renaming of scanned Sales Invoice and Delivery Receipts (Monthly filing)
· Scan Purchase Order
· Save copy of scanned Sales Invoice monthly in USB
· Monitoring and keeping the yellow copies of the following:
- Sales Invoice
- Delivery Receipt
- Order Form
- Service Report
- Sample Request Form
- Collection Receipt
- Counter Receipt
- Petty Cash Form
· Encoding Monthly Tax Input of the expenses additional receipts comes from petty cash
· Issuing Collection Receipts for Walk-in and Delivery
· Encoding Purchase Order
· Data entry of OR on system (clearing payments)
· Follow-up collection on customer (via email and phone call)
· Other duties and responsibilities as deemed necessary by Management
· Preparing balance sheets
· Update internal systems with financial data
· Track bank deposits and payments
· To process all petty cash requests and input transactions
· Prepares general ledger entries by maintaining records and files; reconciling accounts.
· Manage cash controls as well as maintain book keeping up-to-date.
· Oversee the preparation of all financial statements, invoices, proposals, etc. as required.
· Ensure account receivables and payables activities are performed accurately and timely
· Ensure that financial transactions are properly updated and recorded.
· Update financial records with recent transactions and changes.
· Perform finance analysis, reporting and management tasks.
· Identify and resolve invoicing issues, accounting discrepancies and other financial related issues.
· Review financial paperwork and procedures and make appropriate changes
· Receives and verifies purchase orders and requisitions for goods and services
· Verifies that transactions comply with financial policies and procedures
· Processes backup reports after data entry
· Prepares manual checks if necessary
· Maintains listing of accounts receivable
· Sorts documents by account name or number and processes invoices for payment
· Prepares statements, invoices and vouchers
· Ensures the confidentiality and security of all financial and employee files
· Performs other clerical duties associated with accounts receivable
· Assist in month- end financial statement close
· Provide Accounting and clerical assistance to Accounting Department
· Performs Daily Routine such as:
- Prepare cash/cheque deposit
- Check Emails
- Prepare and monitor messengers itinerary schedule
- Encoding and ensuring accurate data in the system
- Accept payments/issuance of Collection Receipts
· Sorting and Filling of Accounting documents
· Respond to queries related to Accounting via email and phone
· Monitoring Accounts receivable, reconcile accounts in a timely manner
· Responsible for the collection of overdue accounts, generate customer aging
· Contact customers to notify delinquent accounts, set and email payment remainders
· Processing and clearing of customer payments
· Update Management regarding collection activities
· Identify and resolve payment discrepancies and other financial issues
· Coordinate with other Department for smooth functioning
· Multitask and manage time effectively
· Daily posting of Sales invoice together with the collection receipts in brown envelope
· Keep tracking and monitoring of the Accounting paper usage (Sales Invoice, Delivery Receipt, Counter Receipt, Collection Receipt, Service Report Form, Order Form, Sample Request Form, Petty Cash Form)
· Filing of Sales Invoice in white envelope (Storage room)
· Scan Sales Invoice with Deliver Receipts and Waybill (Monthly filing)
· Renaming of scanned Sales Invoice and Delivery Receipts (Monthly filing)
· Scan Purchase Order
· Save copy of scanned Sales Invoice monthly in USB
· Monitoring and keeping the yellow copies of the following:
- Sales Invoice
- Delivery Receipt
- Order Form
- Service Report
- Sample Request Form
- Collection Receipt
- Counter Receipt
- Petty Cash Form
· Encoding Monthly Tax Input of the expenses additional receipts comes from petty cash
· Issuing Collection Receipts for Walk-in and Delivery
· Encoding Purchase Order
· Data entry of OR on system (clearing payments)
· Follow-up collection on customer (via email and phone call)
· Other duties and responsibilities as deemed necessary by Management
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World Class Concepts Corp.
About the company
World Class Concepts Corp. jobs
Pasay, Metro Manila
MetroManila, ManilaPHP 20,000
Position Accounting Staff recruited by the company World Class Concepts Corp. at MetroManila, Manila, Joboko automatically collects the salary of , finds more jobs on Accounting Staff or World Class Concepts Corp. company in the links above
About the company
World Class Concepts Corp. jobs
Pasay, Metro Manila