Search Results: 39 vacancies
15400 Php
Responsibilities:
Deliver exceptional customer service tailored to the financial services and banking sector within a BPO environment.
Handle customer inquiries, resolve issues, and provide relevant information regarding financial products and services.
Navigate and...
...and treasury transactions
Be mentored by industry experts and achieve a promising career
Other Details:
Unit: Institutional Banking Sector | Commercial Banking
Office Location: Baguio
Rank: Staff
The Successful Applicant:
Has a strong desire to learn...
...balance sheet accounts for proper adjusting entries.
Review and analyze invoices and other financial documents.
Perform bank reconciliation and process business transactions.
Prepare daily financial reports and participates in weekly team meetings with...
...Handles finance related issues which include monitoring and reconciliation of Accounts Receivables/Payables with Operations and submission of financial reports as required.
Monitors and manages bank loans and borrowed funds from affiliates.
Maintains principally...
...accounting team with various tasks such as data entry, account reconciliation, and invoicing. The successful candidate will have excellent... ...Assist with month-end and year-end close processes
Reconcile bank statements and credit card transactions
Assist with audit...
...revolve around ensuring the accuracy and efficiency of transaction reconciliation within the Xero accounting platform. You will meticulously... ...and verbal English skills
~ Experience with Xero Receipt Bank and Invitbox will be highly regarded
What awaits you in this...
40000 Php
...management.
Meticulously handle invoicing, billing, and expense tracking for all property-related transactions.
Perform regular reconciliations and audits to verify the accuracy of financial data.
Collaborate with other departments, such as leasing and maintenance, to...
13000 Php
...Meet with clients to discuss confidential accounting issues
Post transactions and categorize records in the general ledger
Reconcile bank statements
Analyze transactions with internal and external stakeholders
Conduct month-end and year-end closures
Prepare documents...
12000 Php
...savings, insurance, retirement planning, and other financial matters. Financial Agents may work for financial institutions such as banks, investment firms, or insurance companies, or they may operate independently as financial advisors or consultants. With expertise in...
...Record day-to-day financial transactions and ensure accuracy in entries.
Assist in the preparation of payroll for employees.
Reconcile bank statements and accounts payable/receivable ledger accounts.
Prepare invoices, process payments, and assist in collections as...
...General Accounting Support:
Assist with month-end and year-end close processes.
Prepare journal entries and account reconciliations as assigned.
Support in the preparation of financial reports and analysis.
Collaborate with other team members to improve...
...maintaining financial records, including accounts payable, accounts receivable, and general ledger entries
Prepare and reconcile bank statements, invoices, and other financial documents
Assist with month-end and year-end closing processes
Collaborate with team...
...purchases with VAT (all companies) and summarize monthly/ quarterly input taxes
5. Collects and Encodes and summarizes BIR Form 2307 from banks.
6. Coordinates with branches re payment of taxes and renewal of Business/Mayor’s Permit.
7. Liaison in BIR for tax concerns/...
...amount receive of collections including deposits and deductions versus IOTA DCR.
# Prepares checks and cash to be deposited in the bank for the following day.
# Encodes and updates daily collection detailed.
# Encodes and updates daily collection summary.
#...
...reports, ensuring accuracy and timeliness.
Support the finance team with basic accounting functions such as journal entries, reconciliations, and expense tracking.
Assist in the preparation of presentations for internal and external stakeholders, utilizing...
...Responsible for providing service to clients relative to account opening, placements, client inquiries and after sales services. Sells the Bank's products and services.
Responsibilities
~ Performs start and end of day banking activities.
~ Ensures correctness and...
...reports aligned with the agreed-upon cadence for the client.
Provide accurate specs and material deadlines.
Assist with budget reconciliation and financial queries.
Why choose us?
HMO coverage upon regularization
Competitive Package
Hybrid work set-up...
...responsible for essentially full function accounts payable duties including processing endtoend invoices undertaking supplier reconciliations responding to supplier queries and any adhoc administrative financial tasks.
Here s an overview of your future role:...
...Finance, Marketing, Commerce or equivalent; Graduate in Master's degree is a great advantage
At least 3 years of experience in the Banking Operations in a managerial capacity (if coming from other banks)
At least 5 years of experience in the banking operations in a...
...in using accounting software.
Responsibilities:
Assist in the preparation of financial documents, such as invoices, bills, and bank statements.
Record and reconcile transactions accurately in the accounting system (e.g., QuickBooks, Xero).
Maintain organized...