Job Description

  • Managing Accounts Payable:

     Process, verify, and reconcile invoices for company expenditures.

     Ensure timely payments of vendor invoices and expense vouchers.

  • Auditing of PH Vendor Statements:

     Regularly review and reconcile vendor statements.

    Address and resolve discrepancies in billing and payments.

  • Handling PH Bank Transactions:

   Oversee daily bank transactions, ensuring accuracy in records and reports.

   Manage bank reconciliations and ensure compliance with banking regulations.

  • Handling PH Wire Requests:

    Process and verify wire transfer requests.

    Ensure transactions comply with financial policies and regulatory r...

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