Accounting Supervisor
Current• Manage billing to clients offshore and onshore. • Ensure completeness, accuracy/reliability of accounting records and reports; compile financial information; and reconcile reports and financial data.• In charge of monthly, quarterly and annual reporting of all government related requirements. Preparation, reconciliation and filing of Tax remittances. SSS, PHIC, and HDMF contributions and loans.• Process journal entries and correct records to ensure accuracy (accounts payable and receivable.)• Helps in checking petty cash replenishments. Records CA and RA liquidations of employees.• Prepares BIR Form 2307 for service providers and contractors.• Balances financial transactions and accounts.