AU Accounts Payable Officer at Diversify Offshore Staffing Solutions Cebu Inc. (2023-09 – Present)
Client: Pharmacy Brands Australia | Queensland, Australia
- Execute end-to-end accounts payable functions using MS Dynamics Business Central
- Manage tax invoice processing via DAISY for 10 TerryWhite Chemmart (TWC) branches and ensuring strict adherence to Australian GST compliance
- Oversee the vendor onboarding process, including mandatory ABN (Australian Business Register) verification and conducting verbal call-backs to validate bank details
- Prepare weekly payment runs and proficient in generating ABA files for EFT payments and executing BPAY transactions
- Oversee business name renewals and Annual Pty Ltd Review payments via the ASIC portal
- Perform monthly supplier statement and credit and debit card reconciliations, proactively resolving discrepancies with TWC store managers and vendors
Sr. Finance & Accounting Analyst at Buskowitz Group (2021-07 – 2023-09)
- Reviewed and verified staff accounting entries in NetSuite to ensure accuracy and compliance before final CFO approval
- Partnered directly with the CFO to prepare SEC reportorial requirements for financing companies
- Managed the 'Three-Way Match' process (PO vs. Receiving vs. Billing) and reconciled differences through follow-ups with the concerned department and vendor
- Handled local and international vendor payments via online banking and manual check disbursements
- Led GL account reconciliations and clean-up projects to ensure accurate monthly and year-end financial closing
- Petty Cash Fund Custodian
AP/Treasury Analyst at W Landmark, Inc. (2020-07 – 2021-07)
- Input financial data and produced reports using Netsuite and Quickbooks
- Managed the 'Three-Way Match' process (PO vs. Receiving vs. Billing) and reconciled differences through follow-ups with the concerned department and vendor
- Monitored monthly cash positions and performed bank-to-book reconciliations
- Prepared checks and check vouchers and released checks to suppliers
- Managed intercompany loan schedules (Receivable/Payable) and handled post-dated check (PDC) warehousing and bank transmissions
- Prepared monthly Input VAT reconciliations and filed various BIR forms in compliance with Philippine tax laws
- Petty Cash Fund Custodian
AP - Accounting Assistant at SM Advantage (Marketing Convergence, Inc.) (2017-12 – 2020-07)
- Processed high-volume payments and maintained accurate financial records within Oracle
- Managed the 'Three-Way Match' process (PO vs. Receiving vs. Billing) and reconciled differences through follow-ups with the concerned department and vendor
- Processed payments and documents such as invoices and statements
- Managed SM Gift Card redemptions, including interface file verification and partner payment loading
- Assisted in the preparation of offline BIR forms and month-end closing activities