Bachelor of Science in Accountancy
Philippine School of Business Administration, QC
Philippine School of Business Administration, QC
Checking Purchase Order Numbers and acceptance in the Huawei Ecop System,
Calling and Confirming details of the Subcon before issuing checks.
Prepares checks for the Subcon and deposit slip.
Create Invoices for suppliers, Electronic and Manual Invoices.
Prepares to send Invoices to Huawei Technologies Phil Inc.
Monitoring Payment Deduction Statement
Checking of site replenishment.
Prepares withholding tax compensation and expanded monthly thru ebirforms &
efps. Prepares vat returns monthly thru ebirforms & efps
Prepares percentage tax quarterly.
Posting cash receipt collection and disbursement. Bank reconciliation.
Prepares trial balance for Financial Statements
Ensured that accurate and timely financial details were entered into the accounting
software each day.
Reconcile vendor's statements to accounts payable aging Prepares monthly bank
reconciliation and inventory reconciliation.
Responsible for the preparation of financial statements
Prepares check vouchers and releases.
Prepares daily cash position.
Admin task
Analyzing engagement data, identifying trends in customer interaction and planning digital campaigns to build community.
Search the Internet for information on a wide variety of topics.
Promote companies' products and services by developing copy for websites, social media, marketing materials.