Retail Sales Accountant: Reconciliation & Reporting Pro

ECO SAVERS GROUP VENTURES INC.

Santo Tomas

On-site

PHP 300,000 - 420,000

Full time

4 days ago
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Job summary

ECO SAVERS GROUP VENTURES INC. is seeking a Retail Sales Accountant to monitor and record retail sales across all branches, ensuring accurate transactions and timely reporting.

You will reconcile branch cash collections with deposits, verify records against receipts and POS data, and prepare daily, weekly, and monthly sales analyses while coordinating with Sales, Operations, Finance, and Audit teams.

Qualifications

  • Bachelor's degree in Accountancy or related field.
  • 1–2 years of accounting experience.
  • Strong knowledge of accounting principles and sales transactions.
  • Proficient in Excel and accounting systems.
  • Excellent numerical and analytical skills.
  • Detail-oriented with good reconciliation abilities.
  • Strong communication and coordination skills.
  • Organized and able to handle multiple branch transactions.
  • Able to meet reporting deadlines.

Responsibilities

  • Monitor and record daily retail sales transactions from all branches.
  • Reconcile branch sales with cash collections, deposits, and payments.
  • Verify records against receipts, invoices, POS reports, and supporting documents.
  • Prepare daily, weekly, and monthly sales reports.
  • Investigate discrepancies with branch personnel.
  • Maintain organized sales and accounting records.
  • Coordinate with Branch Sales, Operations, Finance, Accounting and other departments.

Skills

Excel proficiency
Accounting knowledge
Analytical skills
Attention to detail
Communication skills
Coordination skills

Education

Bachelor's Degree in Accountancy or related course

Tools

Microsoft Excel
Accounting systems

Job description

ECO SAVERS GROUP VENTURES INC. is seeking a Retail Sales Accountant to monitor and record retail sales across all branches, ensuring accurate transactions and timely reporting.

You will reconcile branch cash collections with deposits, verify records against receipts and POS data, and prepare daily, weekly, and monthly sales analyses while coordinating with Sales, Operations, Finance, and Audit teams.

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