
Bank of the Philippine Islands (BPI)
Responsibilities
Reviews accounting entries, billings, tax remittances, and requests for payments. Approves transactions in accordance with the approval limits.
Reviews monthly accounting reports including General Ledger and Subsidiary Ledger balances, budget variance, fund balance, and admin cost. Verifies and analyzes SL/GL discrepancies and causes of unfavorable budget variance.
Assists in the preparation of internal and external audit requirements, and financial reports to the Board
Supervises administrative support/ functions such as annual registration, business permit renewal, supplies requisition, capital expenditures, and monitoring reports to ensure that the operations are un compliance with the prescribed policies and procedures.
Handles other tasks that maybe assigned from time to time for the achievement of the objectives of the organization.
Qualifications
Graduate of BS Accountancy or a related course.
Preferably with at least 2-3 years of working experience in a similar function.
Knowledge of accounting and bookkeeping.
Familiarity with regulatory requirements for non-profit organizations.