-Prepare journal entries, reconcile accounts and other month end close duties; meeting monthly close timeline requirements
-Coordinate with the International Teams during the month-end close and perform intercompany account reconciliations.
Key Operational Responsibilities:
Daily Sales journal of Store or branches;
Compiling of sales reports per branch;
Keeping of BIR Documents (returns);
Keeping of corporate documents such as SEC, Permits, etc.;
Performs accounting and clerical functions to...