Accounting Specialist

Tan Group of Companies

RM1.3K[Bulanan]
Di lokasi - Bandar QuezonSiswazah Baru/PelajarSarjana MudaSepenuh-masa
Kongsi

Keterangan Kerja

Manfaat

  • Pengiktirafan dan Ganjaran Pekerja

    Bonus Prestasi, Insentif

  • Faedah Mandat Kerajaan

    Gaji Bulan ke-13, Pinjaman Pekerja, Cuti Berbayar, Philhealth, SSS/GSIS

  • Faedah Tambahan

    Diskaun Kakitangan Pekerja

File Management and Monitoring

  • Regularly check and monitor files uploaded to Google Drive, including Deposit Sales, Attendance, Accounts Receivable, POS Attachments, Manual DSDR, MSDR & Expenses, Purchases, and BIR reports.
  • Ensure daily updates and accuracy of the files to support timely report generation as requested by management.

Accounts Payables

  • Verify receipts submitted by purchasing encoders with store records.
  • Coordinate with suppliers for bi-monthly countering of accounts.
  • Prepare checks for payments after thorough verification, pairing, and computation of accounts.
  • Submit prepared checks for review by the supervisor or admin before obtaining final approval from management.

Accounts Receivables

  • Perform daily checks to ensure Accounts Receivable records are updated.
  • Reconcile counters received from the Cashier with AR records, preparing necessary reports for sister companies.
  • Follow a process similar to payables for check preparation after validation.

DSDR Report Checking

  • Review monthly DSDR reports to ensure accuracy in summaries and completeness of attachments.
  • Prepare the reports for further auditing by the designated audit team.

BIR Report Verification

  • Every end of each month, verify BIR reports for completeness and accuracy on Google Drive before submission to Compliance.

Payroll Verification

  • Confirm and verify all employee leaves, absences, OB, undertime, and late to ensure records align with HR data.
  • Conduct thorough checks and back-and-forth communication with HR for any required adjustments.
  • Submit verified payroll data for final processing by the payroll officer.
  • Payroll cut-off is every 10th and 25th of the month.

Expenses Reconciliation

  • Perform month-end reconciliation of cash and check expenses between store records and office billing.
  • Ensure balanced accounts before submission to the Accounting Supervisor.

Filing and Documentation

  • Organize and file paid vouchers and counters after supplier transactions.
  • Maintain a well-ordered filing system in the stock room for easy retrieval in case of supplier inquiries.


Akaun Pemiutang APAkauntan Awam BertauliahPengurusan KewanganBelanjawanSAPAkaun Penghutang ARAudit
Preview

HR-recruitment TGC

RecruiterTan Group of Companies

Balas Hari Ini 8 Kali

Tempat Bertugas

Timpla Paint Supply Co. Inc.. Cor, 39 GSIS Ave, 1116 Benefits, Project 8, Lungsod Quezon, Philippines

Disiarkan pada 21 January 2026

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