Found Description
- Responsible for the meticulous review of partner organizations' monthly financial reports.
- Assist the Finance Coordinator in the preparation of accurate month-end financial reporting packages.
- Proactively follow up on and resolve financial errors and discrepancies.
- Support during year-end closure activities.
- Responsible for accurate and timely bookkeeping of all financial transactions within the NetSuite (NS) accounting system.
- Maintain systematic physical filing and archiving of all hardcopy supporting documents.
- Ensure completeness, integrity, and accessibility of supporting financial documents.
- Critically review all incoming Payment Request Forms (PRFs) and Working Cash Advance (WCA) liquidations.
- Ensure timely and accurate payment and submission of all withholding tax declarations to the Bureau of Internal Revenue (BIR).
Requirements
- A minimum of a Bachelor's ...