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Role Purpose
Handle issuance of OR to COD collections & coordinate cash remittance with the Bank. Assist for COD payments in preparation of MC /DA (Manager's cheque & Debit Advise) and coordinate availability to Operations. Assist on Tax reporting in preparation & monitoring of OR, inventory and collection of CWT's.
Key Activities
Typical Measurement Criteria/ KPIs
Track internal KPIs such as:
Management Responsibility
Skills / Qualifications
Education Level/ Certification Requirements
Expected Years of Experience (Minimum)
Skills
Job ID: 153089707
Skills:
Microsoft Excel, treasury management systems, Cash Management, Bank Reconciliations, treasury reporting, BIR regulations
Skills:
wire transfers , Microsoft Excel, credit card reconciliations, checks, Positive Pay administration, vendor payment portals, Quickbooks
Skills:
Ms Excel, Microsoft Office, Zero System, Variance Analysis, Quickbooks, Cash Management, Accounts Payable, Treasury Documentation, Cash Forecasting, Bank Reconciliation, Account Reconciliation
Skills:
Ms Excel, accounting and financial concepts, basic financial tools
Skills:
Excel, Internal Controls, ERP accounting systems, Fund transactions, Liquidity monitoring, distributions, Accounting Principles, Bank Reconciliations, Reconciliation processes, Treasury Operations, Cash forecasting, Capital activity, Financial reporting, Cash Management