Job descriptionAssist in the preparation and analysis of Financial Statements and management reports.Record, monitor, and reconcile accounts payable and accounts receivable.Prepare and post journal entries, vouchers, and adjustments.Handle bank reconciliations and petty cash monitoring.Maintain accurate and organized accounting records and documents.Assist in the preparation of BIR reports, compliance, and other government requirements.Support the Accounting Department in audits, budgeting, and forecasting activities.Perform other related tasks as may be assigned by the Accounting Head or Management.