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Accounting Staff – Non- Trade Specialist

Level: Rank and File

Employment Type: Full-time, Permanent

Location: Mandaluyong

Schedule: Monday to Friday

Job Summary:
Perform accounting functions involved in non-trade payables. Responsible in preparation of payment voucher and ensure the completeness and accuracy of data processing for accounting information.

Job Description

  • Responsible in preparation of non-trade payables.
    • Ensure that all non-trade payables are processed on time.
    • Verify the completeness and accuracy of documents/attachments (approved request to purchase, original sales invoice, PI if applicable)
    • Assign check number to all payment vouchers.
    • Write check number/PV number to all attachments.
  • Ensure that all government dues and statutory requirements (SSS, PHIC, HDMF) are processed and paid on time.
    • Prepare payment voucher for the government dues and statutory requirements.
    • Ensure the entries in SAP are correct and accurate.
  • Prepare cash advances for liquidation. Ensure the following are met:
    • Ensure that cash advances requested are approved by authorized person with complete documents.
    • Prepare PV and ensure the completeness and accuracy details (amount, class docs, narration, and account codes.)
  • Ensures that policies and guidelines in PCF are being followed. The includes but not limited to:
    • Ensures that all petty cash be replenished on time.
    • Verifies the completeness and accuracy of receipts and other documents necessary in replenishment.
    • Responsible in communication with custodian any discrepancies or invalid receipts
    • Prepares payment voucher and ensure the accuracy and correctness of entries in FACT.
  • Processes approved loan to employees. Ensure that all entries in FACT and payroll registry are accurate and complete. Monitors the payment and entries for loan employees.
  • Ensures that all entries for payroll report are correct, complete and timely.
  • Processes the Sales commission of employees and third party. Ensures that the details are based on approved commission.
  • Responsible in filing all PV and attached documents per folder. Ensure that all files are organized and systematic.
  • Responsible for preparing payment vouchers for CFZ transactions.
  • Performs other tasks assigns/request by the management.
  • Encode receipts in purchases for BIR filing.

Qualifications:

  • Graduate of Bachelor’s in accounting, Financial Management, or any related course
  • SAP experience is an advantage but not required.

Benefits:

  • Vacation Leave 
  • Sick Leave 
  • Birthday Leave 
  • HMO upon regularization 
  • 5-day work week only 
  • Sick leave convertible into cash 
  • In-house Training & Certifications 
  • Great pay & incentives 
  • Hybrid Work Arrangement 
  • Life Insurance coverage upon hire

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