Bookkeeper

Dempsey Resource Management Inc.

Manila

On-site

PHP 334,800 - 502,200

Full time

14 days+
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Benefits offered by this job

Performance Bonus

Job summary

Dempsey Resource Management Inc. is hiring for an on-site accounting position in Manila. The role requires a Bachelor’s degree in accountancy or related field, along with at least 2 years of experience in an accounting department. Responsibilities include recording transactions, reconciling accounts, and preparing financial documents. The position offers a performance bonus and requires work from Mondays to Saturdays.

Qualifications

  • At least 2 years of work experience in an accounting department.

Responsibilities

  • Recording transactions in appropriate company account ledgers using spreadsheets or accounting software.
  • Reviewing account ledgers for accuracy and correcting errors.
  • Preparing and filing basic financial documents.
  • Reconciling accounts by comparing bank information to records.
  • Organizing receipts, invoices and financial documents.
  • Assisting with tax payments and returns.
  • Maintaining compliance with financial reporting regulations.

Skills

Proficient with computers and bookkeeping software
Strong typing skills

Education

Bachelor's degree in accountancy, accounting technology or related course

Job description

Job Description

On-site in Manila. Requires 1–3 years of experience and a bachelor’s degree. Full-time.

Employee Recognition and Rewards

Performance Bonus.

Qualifications
  • Graduate of accountancy, accounting technology or related course.
  • At least 2 years of work experience in an accounting department.
  • Proficient with computers and bookkeeping software; strong typing skills.
Responsibilities
  • Recording transactions in appropriate company account ledgers using spreadsheets or accounting software.
  • Reviewing account ledgers for accuracy and correcting errors, such as duplications or typos.
  • Preparing and filing basic financial documents, such as income statements, profit and loss statements and totals by account.
  • Reconciling accounts by comparing bank information to records.
  • Organizing receipts, invoices and physical copies of financial documents.
  • Assisting with tax payments and returns.
  • Maintaining compliance with financial reporting regulations, such as Generally Accepted Accounting Principles (GAAP).

Work schedule: Mondays to Saturdays.

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