Accounting Staff at LB Levinson Brothers Inc. (2014-01 – 2026-03)
- Support external and internal audits by providing relevant documentation
- Process tax filling, and other statutory compliance reports (2307&1601 F,C&E)
- Filling of Income&Sales in BIR ESALES
- Filling of Masterlist inventory
- Counted the physical inventory of products, materials within the warehouse
- Checked Cash Disbursement, monitoring payables, replenishments&makes cheque
- Encoded the data regarding the assets of the company
- Maintained&monitored the stock level of materials, tools&equipments
- Preparing request for payment utilities&cash advances
- Filing all documents per transactions
Proofreader at Asec Asia Inc. (2008-10 – 2011-04)
- Checked the ads created by the artists compared the information given by the clients
- Checked the information is all correct through (Google, Superpages, Dictionary and Supermedia)
- To meet the quality and productivity of the ads to minimize error and target the daily quota
Finance Inventory Clerk at Interphil Laboratories Inc. (2007-09 – 2008-01)
- Counted the physical inventory of products, materials within the warehouse
- Compared the physical inventory between the data given by our superior/supervisor
- Encoded the information getting from warehouse and given data of my supervisor
Bookkeeper Trainee at Card Bank Inc. (2007-06 – 2007-08)
- Checked all the deposits, withdrawals, encashment, loans of the clients
- Recording of business transactions
Production Operator at HITACHI Global Storage Philippines Corporation (2007-01 – 2007-05)
- Followed the SOP of the machine and the products
- To produce the products and target the daily quota in one shift
Production Operator at NIDEC Philippines Corporation (2006-04 – 2006-12)
- Followed the SOP of the machine and the products
- To produce the products and target the daily quota in one shift
Accounting Staff at JAA Trading (2005-01 – 2005-04)
- Focused on the recording of business transactions
- Balancing the Balance Sheet and Income Statements
- Compared the Changes and Equity of the owner by the system between the information given my co-employee and the physical on the bank book
On the Job Training at JAA Trading (2005-01 – 2005-04)
- Filing all documents per date
- Create the pay slip of the employee
- Record the account payable of the clients