Responsible for overseeing the smooth accounting operation of all PAM managed sites
Accountable for the development of site accounting plan and execution of programs to deliver financial delivarables in accordance to Scope of Work
Functionally oversee B&C assistants and Property Accountants
Review financial reports prepared by Property Accountants and/or Billing and Collection Assistants before presentation to the client's Board of Trustees
Review BIR returns prepared by Property Accountant and/or Bookkeepers and monitor regulatory compliance related to BIR, SEC and LGU
Performed periodic audits of financials of assigned sites
Lead transition audit for new and winding up accounts of JLL in assigned sites
Able to train new employees through one-on-one coaching and or online trainings