Job Description - Accounting Supervisor (to be assigned to handle the Accounts Payable Unit)
1. Responsible for efficient and effective operation of the Accounts Payable (AP) Unit.
2. Provides overall supervision and guidance to the AP Team, which includes regular team coordination
meetings.
3. Ensures timely processing of payables in line with payment due dates, tax filing/payment deadlines,
and PNL submission due dates.
4. Sees to it that there is regular coordination and constant communication between AP and other
Accounting teams - FR, AR and Documentation - to ensure that recording of payable transactions is
properly aligned with the requirements and deliverables of these Teams.
5. Ensures that inquiries and follow ups regarding payables and petty cash replenishments are
responded/attended to properly and in a timely manner.
6. Monitors processing of recurring payables according to approved/established payment schedules.
7. Ensures that AP Team proactively reminds the Stores, vendors and other Departments to submit in a
timely manner, DRs, PCF replenishment documents, Billing Statements, Invoices, and all other
documents/reports needed for payment processing. Ensures further that all these submitted
documents are properly accounted for.
8. Approves/signs Payable voucher, after ensuring:
8.1 that Debit and Credit accounts and amounts are accurate
8.2 that amounts of applicable input Vat and withholding taxes are accurate
8.3 that the Particulars indicated in the Payable Voucher are complete and accurate.
8.4 that signed 2307 Form is attached
8.5 that RFP and other supporting documents are complete, accurate, and duly approved/signed by
authorized Director/Managers.
9. Ensures that Payable Vouchers transmitted to Treasury are covered by Transmittal letter, and
likewise ensures that such Transmittal is acknowledged by Treasury staff/officer.
10. Should there be a need for reconciliation of accounts with vendors, Stores, Treasury, and other
Departments, shall take the lead in the reconciliation process.
11. Reviews aging of Accounts Payable at least once a month and takes appropriate action in case there
are overdue accounts.
12. Reviews AP processes regularly and submit improvement recommendations, if any, to Management
for evaluation.
13. Performs other tasks which may be assigned by Management from time to time.
** nothing follows**
Summary of role requirements:
Looking for candidates available to work on weekdays
2-3 years of relevant work experience required for this role
Working rights required for this role
Expected start date for role: 15 August 2023
1. Responsible for efficient and effective operation of the Accounts Payable (AP) Unit.
2. Provides overall supervision and guidance to the AP Team, which includes regular team coordination
meetings.
3. Ensures timely processing of payables in line with payment due dates, tax filing/payment deadlines,
and PNL submission due dates.
4. Sees to it that there is regular coordination and constant communication between AP and other
Accounting teams - FR, AR and Documentation - to ensure that recording of payable transactions is
properly aligned with the requirements and deliverables of these Teams.
5. Ensures that inquiries and follow ups regarding payables and petty cash replenishments are
responded/attended to properly and in a timely manner.
6. Monitors processing of recurring payables according to approved/established payment schedules.
7. Ensures that AP Team proactively reminds the Stores, vendors and other Departments to submit in a
timely manner, DRs, PCF replenishment documents, Billing Statements, Invoices, and all other
documents/reports needed for payment processing. Ensures further that all these submitted
documents are properly accounted for.
8. Approves/signs Payable voucher, after ensuring:
8.1 that Debit and Credit accounts and amounts are accurate
8.2 that amounts of applicable input Vat and withholding taxes are accurate
8.3 that the Particulars indicated in the Payable Voucher are complete and accurate.
8.4 that signed 2307 Form is attached
8.5 that RFP and other supporting documents are complete, accurate, and duly approved/signed by
authorized Director/Managers.
9. Ensures that Payable Vouchers transmitted to Treasury are covered by Transmittal letter, and
likewise ensures that such Transmittal is acknowledged by Treasury staff/officer.
10. Should there be a need for reconciliation of accounts with vendors, Stores, Treasury, and other
Departments, shall take the lead in the reconciliation process.
11. Reviews aging of Accounts Payable at least once a month and takes appropriate action in case there
are overdue accounts.
12. Reviews AP processes regularly and submit improvement recommendations, if any, to Management
for evaluation.
13. Performs other tasks which may be assigned by Management from time to time.
** nothing follows**
Summary of role requirements:
Looking for candidates available to work on weekdays
2-3 years of relevant work experience required for this role
Working rights required for this role
Expected start date for role: 15 August 2023
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LKY Group of Companies, Inc.
About the company
LKY Group of Companies, Inc. jobs
Ermita, Metro Manila




Accounts Receivable / Accounts Payable (AR/AP) Specialist
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Position ACCOUNTING SUPERVISOR - accounts payable recruited by the company LKY Group of Companies, Inc. at MetroManila, Manila, Joboko automatically collects the salary of , finds more jobs on ACCOUNTING SUPERVISOR - Accounts Payable or LKY Group of Companies, Inc. company in the links above
About the company
LKY Group of Companies, Inc. jobs
Ermita, Metro Manila