Accounting Staff
City of Pasig, National Capital Region
Posted 2 days ago
- Company:
- Foremost Farm Inc
- Company Description:
- The significant growth of Foremost Farms has spawned a seed of growth in agricultural production. It is a leading and constant customer of local agricultural products. The Pinugay Farm and Pantay Farm averages 130,000 heads at any given time. Their combined daily feed intake is approximately 200 tons daily. With these requirements, the company purchases 150 tons of corn per day or more than 50,000 tons per year, giving local corn farmer a sure and dependable market. The two farms, founded in the middle of sparsely populated and undeveloped areas, has triggered various economic activities that resulted in more job opportunities and definite source of income for its residents, as well as for the people of Rizal. Barangay Pinugay, for one has evolved into a large community most of whom are dependent to Foremost Farms on employment or income. To provide backyard hog raisers with quality feeds that will definitely promote efficient feeding, Foremost Farms ventured into commercial feeds production in 1981. At the same time, the company extended technical services to backyard hog raisers educating them on contemporary disease prevention and effective management of hogs.
- Contract Type:
- Full Time
- Experience Required:
- 1 year
- Education Level:
- Bachelor’s Degree
- Number of vacancies:
- 2
Job Description
CPA license is a plus.
1-2 years of experience in an accounting or finance role, preferably in the Accounts Officers/Clerks industry
Proficient in using accounting software and spreadsheet applications
Strong attention to detail and a commitment to accuracy
Excellent communication and interpersonal skills
Ability to work independently and as part of a team
Problem-solving skills and a proactive approach to tasks
General Accounting Functions
Confers with immediate superior on specific tasks to be accomplished for the day, helping identify those in the team requiring immediate assistance.
Helps post payables and receivables in their respective accounting ledgers or accounts in the accounting system to facilitate completion of the transaction.
Complies with standard accounting procedures in A/R by completing the documents supporting records before the release of checks to suppliers.
Settles company’s liabilities on time by keeping the suppliers informed on the status of their transactions.
Records monthly revenues, expenses, and accounting activities of the organization; performing monthly reconciliations of bank statements and other accounting records ensuring the resolutions of any discrepancies thereon.
Provides assistance to other accounting team members whose report deadlines are fast approaching and reports are to be submitted for immediate management decision.
Performs other functions which may be assigned by the immediate superior from time to time.
Accounts Payable Functions
1. Matches purchase orders information and receiving report with supplier’s billing/invoices and if necessary reconciles information prior to preparation of check payment documents.
2. If necessary, verifies receipt of materials or services/confirmation of receipt of materials or services before making any further processing.
3. Request for supporting documents or additional information for transactions that will require further validation or verifications.
4. Enters invoices in accounting system for payment ensuring correct approval, coding, and matching.
5. Prepares check vouchers form by inputting the appropriate data on the form before forwarding it to superiors for checking and approval.
3. Maintains accounting ledge by verifying and posting account transactions.
4. Verifies vendor accounts by reconciling monthly statements and related transactions.
5. Maintains historical records of files and documents both in hard and soft copy format.
6. Prepares various reports e.g. Aging of Payables based on available raw data on hand.
Accounts Receivable Functions
1. Posts customer payments by recording cash, check, and credit transactions into their appropriate ledger.
2. Posts revenues by verifying and entering transactions into its proper journal and
ledgers.
3. Reconciles, verifies and validates account discrepancies by obtaining and investigating information from sales, trade sales promotions, customer service department and from customers.
4. Resolves collections by examining customer payment plans, payment history, credit line, coordinating contact with collection department.
5. Summarizes receivables by maintaining invoice accounts, coordinating monthly transfers to accounts receivable; verifying totals and prepare various monthly reports.
6. Prepares various report pertinent to specific functions e.g. Receivable aging.
7. Makes recommendations as to possible write-off, after exhaustive analysis and exploring all other
Assign Location: FOREMOST FARMS, INC. - 448 EVANGELISTA ST. BRGY. SANTOLAN PASIG CITY
Landmark: SM Marikina/LRT-A Santolan Station/Marikina Doctors Hospital
- Salary:
- ₱23,700.00 Monthly