Handling several clients for bookkeeping and tax compliance; Meticulous attention to detail especially in carrying out audits in private sector
Experience: 10+ years
I want to share a snapshot of my bookkeeping experience, spanning end-to-end client engagements from business setup to deregistration. I have: Assisted multiple clients with registering their businesses with the appropriate government agencies, ensuring compliance and timely submission of required documents. Managed ongoing tax compliance, including filings, registrations, and coordination with tax authorities. Maintained accurate and organized accounting books, including ledgers, trial balances, and general journals, to support reliable financial reporting. Implemented robust recordkeeping practices and documentation controls to support audit trails and business decisions. Guided clients through lifecycle events (banking setup, payroll, invoicing, and eventual deregistration) to ensure a smooth transition and compliance at each stage.
Experience: 2 - 5 years
I wanted to share a brief overview of my experience handling inventory as an auditor. In the area of inventory management, I have: Identified and analyzed current problems in inventory records, evaluating root causes and potential risks. Recommended practical solutions to address these issues and improve accuracy and reliability of listings. Implemented and suggested several controls to ensure that all inflows and outflows of items are recorded accurately and timely. Collaborated with operations and finance to align inventory records with physical counts, reconcile discrepancies, and strengthen governance over stock movements. Monitored the effectiveness of implemented controls, adjusting procedures as needed to maintain accurate, up-to-date inventory data.
Experience: 10+ years
I want to share a snapshot of my experience as an auditor specializing in financial accounting. In advising clients on accounting treatment and the proper recording of transactions, I have: Interpreted relevant accounting standards and provided practical guidance on appropriate treatments for complex transactions. Ensured transactions are recorded accurately and consistently, supporting reliable financial reporting. Emphasized governance and controls to prevent misstatements and to promote transparency in financial statements. Worked with management and finance teams to align reporting with applicable frameworks, enabling decision-makers to rely on well-reported figures rather than distorted data. Monitored and validated the impact of accounting judgments through review procedures, reconciliations, and traceable documentation.
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