Job Description

Develops, implements and maintains one or more accounting systems: Journal entries, General Ledger, Accounts Receivables, Accounts Payable, Revenue Reconciliation, etc. Reviews and interprets financial reporting requirements, rules and regulations. Balances books and prepares profit, loss, cash flow, income, and balance sheet statements. Monitors and develops monthly reports of revenues and expenditures for projects.

Duties and Responsibilities

  • Prepare accurate and timely data and records for journal entries by compiling and analyzing cash, balance sheet & income statement account information.
  • Support monthly closing of financial records and posting of month-end information, thereby helping to ensure the accuracy of financial statements.
  • Documents financial transactions by entering account information
  • Recommends financial actions by analyzing accounting options and adjusting entries
  • Summarizes current financial status by co...

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