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Search Results: 47 vacancies
- ...Experience Level: Entry - Individual Contributor Employment Type: Full-time Work Setup: On-site (Bank Branch) Location: Angeles, Pampanga Industry: Bancassurance Base Salary: PHP 15,000 - 25,000 About the Job: As a Banking Sales Officer, your primary...
- ...VBA, Macros, Excel) ~ Has strong knowledge with MS Office Tools (Excel in particular) ~ Preferably with background or knowledge in Banking and Financial. ~ Amenable to work in shifting/nightshift schedule in Clark . ~ Amenable to work onsite...
- ...management tools and techniques. Experience in usage of reporting tools like Avaya/Cisco. Preferably with background or knowledge in Banking and Financial. Amenable to work in shifting/nightshift schedule in Clark . Amenable to work onsite Responsibilities:...
- ...and written communication. Good problem-solving skills and ability to multitask. Preferably with background or knowledge in Banking and Financial. Amenable to work in shifting/nightshift schedule in Clark . Amenable to work onsite Responsibilities:...
- ...experience with 2 years of experience as a trainer in BPO/shared services industry. Preferably with background or knowledge in Banking and Financial. Excellent oral and written communication. Good problem-solving skills and ability to multitask. Amenable to...
- ...prior work experience. ~ Experience working in the BPO Industry is an advantage. ~ Preferably with background or knowledge in Banking and Financial. ~ Excellent oral and written communication. ~ Good problem-solving skills and ability to multitask. ~ Amenable...
- ...service in the BPO/BPM industry A minimum of 1 year in the role of a Team Leader. Preferably with background or knowledge in Banking and Financial. Amenable to work in shifting/nightshift schedule in Clark . Amenable to work onsite Responsibilities:...
- ...to obtain within 60days ~ Strong knowledge of defined contribution plans necessary ~ Preferably with background or knowledge in Banking and Financial. ~ Amenable to work in shifting/nightshift schedule in Clark . ~ Amenable to work onsite...
- ...Cash Handling - Receive, manage, and disburse cash payments for company expenses, including petty cash and payroll (if applicable) Bank Transactions - Deposit company funds, process withdrawals, and manage check transactions. Record-Keeping - Maintain accurate cash...
- Job Description Manages cash handling, bank transactions, record-keeping, petty cash, and expense verification. Detects irregularities and assists with billing and collections. Qualifications: • Prior cashier experience preferred • Graduate of Business Administration...
- ...processes, including month end close. This is a full-time, remote position. Responsibilities: Perform daily reconciliation of bank activity to general ledger, complete monthly bank reconciliations, and resolve discrepancies Reconcile various balance sheet...
30000 Php
...background in BPO experiences? We got you!! Start Date : June 4, 11, 16, 23 These Summer Treats (Accounts) awaits you! Financial Banking - Up to 25k* Salary Package Automotive - Up to 23k* Salary Package Telco - Up to 27k* Salary Package US Retail - Up to 24k*...- ...loan applications, staff house, and timekeeping. Check daily deposits and conduct daily cash collection audit. Prepare daily bank reconciliation. Monitoring outright commission. In charge in issuance of bank endorsements and bank opening. Collate official...
- ...Entry of all accounts payable invoices into the system Checking of coding for accounts receivable. Set up all payments in the bank and compile supporting documents. Payroll preparation Correspondence with managers to follow up and get updates on debtors....
- ...be: •Manage day-to-day bookkeeping tasks including accounts payable, accounts receivable, and general ledger entries. •Reconcile bank statements and ensure accuracy of financial records. •Manage receipts, accounts receivables, and payables. •Utilise Xero for...
- ...team on effective operations. ~ Protects employees & customer by providing safe & clean store environment. ~ Daily Bank-in of store sales. ~ Stocking & Order Own Use Item & small notes needed. ~ Complete, Update & Report (Sales, New Staff...
- ...accruals and reporting. Vendor Management: ~ Maintain up-to-date and accurate vendor master data, including ABNs, banking information, and contact details. ~ Respond to vendor queries in a professional and timely manner to maintain strong...
- ...accurate processing and review of financial documents such as vouchers, sales invoices, receipts, and delivery slips Lead monthly bank reconciliation and general ledger review to maintain up-to-date and accurate financial records Supervise daily financial encoding...
- ...accounts receivable and issue invoices. Update accounts payable, vendor management, and perform reconciliations. Prepare bank reconciliations. Prepare Balance Sheet reconciliations and month-end required reports. Handle payroll-related tasks such...
- ...calls for the firm. Enter attorney time and case activity into PCLaw. Manage monthly credit card expense entries and reconcile bank statements. Generate legal billing and breakdowns for clients. Assist with data entry and submission of 401(k) and Cash...