Job Description
Handles day-to-day accounting activities related to revenue and expenses, including processing payments, managing accounts payable/receivable, and performing bank-related confirmations. Ensures timely and accurate transaction recording and supports financial operations through system updates and reconciliation.
KEY RESPONSIBILITIES
You will:
- Processes checks, manages accounts payable and receivable, and handles bank confirmations.
- Receives, records, balances, and posts daily cash and check collections through the SAP system.
- Monitors and confirms completion of bank-to-bank transfers.
- Ensures prompt posting and delivery of all Delivery Receipts (DRs) on the same day.
- Conducts 3-way matching for transactions, comparing Sales Orders, Delivery Receipts/Invoices, and Pick Lists.
- Investigates discrepancies and processes necessary corrections or credit memos.
- Reconciles Sales Return Slips with corresponding Sales Invoices and Credit Memos.
- Monitors and validates charges billed to customers.
- Coordinates and prepares the collection schedule with the collection team.
- Performs other finance-related duties as assigned.
QUALIFICATIONS & REQUIREMENTS:
- You must have a college degree, preferably in Accountancy, Finance, Banking, or a related field.
- You must have at least two (2) years of experience in Treasury functions, ideally within a manufacturing environment.
- You must have experience working with SAP.
- You must have strong computer skills, particularly in Microsoft Excel, Outlook, and Word.
- You must be a team player and willing to work extended hours when necessary.
- You must be able to work effectively under pressure.
- You must be capable of multi-tasking, working systematically, and meeting tight deadlines.
Work Schedule: Regular day shift (8 am – 5 pm)
Work Setup: Hybrid – 4 days onsite; 1 day WFH – Santo Tomas, Batangas