- Assist in the preparation of financial statements and reports.- Prepares Petty cash, BIR Reports and Billing Preparations.- Manage accounts payable and receivable processes.- Reconcile bank statements and ensure accurate record-keeping.- Conduct general ledger entries and assist with month-end close activities.- Support the annual budgeting process and financial forecasting.- Aid in the preparation of tax returns and compliance documentation.- Maintain filing systems and ensure financial records are up-to-date and organized.