Compile and analyze financial information to prepare and interpret financial statement in accordance with GAAP
Ensure financial record are maintained,through preparation and reviw, in compliance with company policies and procedures
Responsible for income tax returns, both annual and mid-year returns, Handle tax matter and assist in tax planning. Coordinate BOI matters
Participate in the financial audit and preparation of required audit support schedules
Assist with other areas of accounting including Account Payable, Account Receivable
Supervise proper verification and documentation of invoices, tax invoices and others
Verify payment, petty cash voucher and expenses claims report
Verify filing of VAT, withholding tax and monitor the VAT refunds
Manage cash flow and placement of funds to minimize cash float
Monitor inter-company and trade payables.
Supervise the reconciliation of balance sheets accounts.
Prepare reports to Corporate related to GL and tax
Responsible for treasury, banking, and cash management
Responsible directly to internal/external customers regarding routine requests in a timely manner
Maintain the smooth functioning of GL system with close cooperation from IT