I graduated Bachelor of Science in Accountancy and I have over five years of experience as a site accountant for a property management company. We managed condominiums and we render our services to resident community. During my time with the previous company, I was able to gather knowledge and experiences. It was my first job after graduating. I have experience with bookkeeping, including recording, tracking and processing day-to-day bookkeeping operations. I also have general accounting skills, such as preparing financial statements, reconciling accounts, preparing audits and managing accounts payables and receivables. I have experience with applications such as Quickbooks and Microsoft Office, particularly Excel.
Experience: 2 - 5 years
Proficient in maintaining accurate financial records, including recording transactions, reconciling bank statements, and managing accounts payable and receivable. Skilled in using accounting software like QuickBooks to streamline bookkeeping processes, improve efficiency, and support financial decision-making.
Experience: 2 - 5 years
Experienced in performing accurate and timely bank reconciliations to ensure financial records align with bank statements. Proficient in reconciling multiple accounts, managing outstanding transactions, and maintaining accurate cash flow records.
Experience: 2 - 5 years
Proficient in using QuickBooks for accounting and financial management, including handling accounts payable and receivable, bank reconciliations and financial reporting.
Experience: 2 - 5 years
Experienced in managing the full accounts payable cycle, including invoice processing, payment scheduling, vendor reconciliation, and expense tracking. Proficient in ensuring accurate and timely payments while maintaining strong vendor relationships and adhering to company policies and financial controls.
Experience: 2 - 5 years
Proficient in financial accounting principles, including recording, analyzing, and reporting financial transactions in compliance with accounting standards. Experienced in preparing financial statements, managing accounts payable and receivable, performing bank reconciliations, and ensuring accurate general ledger maintenance.
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