Currently working as a Junior Bookkeeper, mainly using Xero with Australian clients.
Tasks involved:
1. Bank reconciliation
2. Payroll
3. AP/AR
4. Month-end reviews of accounts
5. STP Finalisation
6. EOFY Review and Finalisation of accounts
I was recently an on-the-job trainee at RealPage, Inc. and was assigned to the Property/Residential Accounting (SmartSource Accounting) team. I was given tasks such as:
1. Re-accrual Investigation: Identify accruals and re-accruals that should be kept or dropped from the general ledger;
2. Workbook Preparation: Extract updated balance sheets through SharePoint, then upload them to workbooks using Excel and update corresponding worksheets;
3. Bank Reconciliation: Identify and reconcile accounts using Excel workbooks and import them to RealPage's online accounting software;
4. Payroll: Update payroll details and identify discrepancies such as duplicate employees; and
5. Bank Statement Attachment: Extract updated bank statements from the company's SharePoint and attach them to their respective property accounts.
I am also willing to work outside the job responsibilities and hours agreed upon, if necessary.
Experience: Less than 6 months
During my internship, I was tasked to perform bank reconciliations for over 30 properties using the proprietary software of the company.
Experience: Less than 6 months
Experience: Less than 6 months
Experience: Less than 6 months
I recently finished a course on Microsoft Excel from Udemy titled "Microsoft Excel - Excel from Beginner to Advanced" to further enhance my knowledge and skills in using the software.
Experience: Less than 6 months
Experience: Less than 6 months
Experience: Less than 6 months
Experience: Less than 6 months
As a U.S. Certified Management Accountant passer, financial analysis is one of our priorities. Studying financial analysis for 6 months and passing the exam, I have a fair amount of knowledge on this area.
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