Accounting Specialist

J-K Network Services

Cebu City

Hybrid

PHP 345,960 - 446,400

Full time

14 days+
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Benefits offered by this job

Government mandated Benefits
HMO
13th month pay
14th month pay
Leave Credits
Performance Bonus
Travel Allowance

Job summary

A leading recruitment firm is looking for an Accounting Staff in Cebu City. The successful candidate will manage accounts reconciliation, BIR and tax compliance, and oversee petty cash. This hybrid position requires a bachelor's degree in accountancy and at least one year of relevant experience. Salary ranges from Php31,000 to Php40,000.

Qualifications

  • At least 1 year of work experience in accounting role.
  • Experience handling petty cash management, BIR and Tax Compliance.
  • Knowledgeable with Accounting Software.

Responsibilities

  • Responsible for handling Accounts Reconciliation, BIR and Tax Compliance.
  • Responsible for Managing Petty Cash.
  • Maintaining financial accurate records and transactions.
  • Processing invoices and reconciling accounts.
  • Responsible for resolving financial discrepancies.

Skills

Accounting Software
Petty Cash Management
BIR and Tax Compliance
Financial Record Maintenance

Education

Bachelor’s Degree in Accountancy or related course

Job description

Overview

Client Profile: Over 25 years of experience in leading and providing excellent solutions in digital platform. Presenting AI powered product designed to attract and meet the needs of the businesses.

Position: Accounting Staff

Industry: IT Company

Location: Cebu IT Park, Cebu City

Salary: Php31,000 – Php40,000

Schedule: Monday – Friday (9:00AM – 5:00PM)

Work Set up: Hybrid

Benefits
  • Government mandated Benefits
  • HMO
  • 13th month pay
  • 14th month pay
  • Leave Credits
  • Performance Bonus
  • Travel Allowance
Requirements
  • Bachelor’s Degree in Accountancy or any related course
  • At least 1 year of work experience in accounting role
  • Experience handling petty cash management, BIR and Tax Compliance
  • Knowledgeable with Accounting Software
  • Amenable to work as soon as possible
Responsibilities
  • Responsible for handling Accounts Reconciliation, BIR and Tax Compliance
  • Responsible for Managing Petty Cash
  • Maintaining financial accurate records and transactions
  • Processing invoices and reconciling accounts
  • Responsible for resolving financial discrepancies
Recruitment Process
  • Initial interview
  • Final interview
  • JOB OFFER
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