1. Preparation and sending of daily funding and expenses report.
2. Preparation of Finance and Accounting report.
3. Coordinated with Head Quarter, Bank, Vendor, The Revenue Department and Other department for various needs.
4. Examined submitted invoices for various suppliers for approval of payments
5. Prepared check payments against invoices and deliveries.
6. Ensured proper duties and taxes are remitted to the local government.
7. Monitored accounts payables and receivables.
8. Performed bank reconciliations.
9. Assisted the payroll master, employee deductions, etc.
10. Created journal entries.
11. monthly Closing