Tax Compliance: Ensure all tax forms are prepared, filed, and paid strictly before deadlines. Handle the submission of all required documents to the BIR.
Financial Reporting: Prepare accurate Income Statements and perform monthly Bank Reconciliations for presentation to the CFO.
Bookkeeping: Monitor books of accounts for all branches to ensure records are updated and audit‑ready for BIR Tax Mapping.
Sales Reconciliation: Communicate with branch cashiers to resolve sales discrepancies and troubleshoot POS back‑office data issues.
Payables Management: Ensure strict adherence to payment schedules for BIR filings and utility bills.
Requirements:
Educati...
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