Luodivina Pastrano, Accounts Payable Accountant

Luodivina Pastrano

Accounts Payable Accountant

ADVANCED BUSINESS CONCEPT LLC.

Lieu
Émirats Arabes Unis - Dubaï
Éducation
Baccalauréat, Bachelor of Science in Accountancy
Expérience
22 years, 9 Mois

Partager Mon CV

Empêcher usager


Expériences professionnelles

Total des années d'expérience :22 years, 9 Mois

Accounts Payable Accountant à ADVANCED BUSINESS CONCEPT LLC.
  • Émirats Arabes Unis - Dubaï
  • Je travaille ici depuis mars 2013

 Receive and verify invoices and requisitions for goods and services.
 Verify that transactions comply with financial policies and procedures.
 Data entry of invoices for payment and process backup reports after data entry.
 Record all cheques, list all vendor cheques in the log book and prepare manual cheques and manage the weekly cheque run.
 Maintain listing of accounts payable and general ledger.
 Maintain updated vendor files and file numbers.
 Print and distribute monthly financial reports.
 Establish and maintain confidential casual employee files.
 Calculate salaries and benefits, verify pay amounts, hours of work, deductions, etc.
 Data entry of payroll information, verify coding, obtain signatures and batch paysheets for data entry.
 Log in and distribute pay cheques.

Senior Accountant à top gear promotions llc
  • Émirats Arabes Unis - Dubaï
  • septembre 2011 à novembre 2011

SUMMARY
 Perform general accounting and financial reporting functions for local management and external reporting needs.

ESSENTIAL DUTIES AND RESPONSIBILITIES include the following. Other duties may be assigned.
 Responsible for the preparation of accurate financial reports and supporting schedules, as required.
 Responsible for account reconciliations bank account/ Preparation of monthly payroll.
 Handles accounts payable function.
 Duties include highlighting to management potential issues affecting expenses, balances, or cash flow.
 Perform general accounting functions, including operation of the general ledger system,
journal entries, and month-end close work.

accountant à EMIRATES GOLD, DMCC
  • Émirats Arabes Unis - Dubaï
  • août 2009 à août 2011

 Entering all accounting transactions on a day to day basis such as invoice, purchase orders, receipts and payment in computerized accounting system
 Prepare payroll
 Maintain general ledger
 Prepare bank reconciliation statement
 Knowledge of preparing cash flow statement and cash forecasts
 Preparing MIS reports and variance analysis
 Maintain and organize the necessary records/files to support transactions related to area of assignment.

Accounting & Information Officer à ABS-CBN Bayan Foundation, Inc.
  • Philippines
  • janvier 2007 à juin 2009

-Direct report to the Chief Accountant
-Supervise accounting & information staff
-Prepare balance sheet, Statement of operations, Cash flow statement, statement of sources & usage of fund, financial analysis
-Prepare summary of Head Office initiated transactios for branches
-Provide other financial reports as required by the donors, funders and corporate partners
-Prepare the budget and budget variance analysis
-Register the Books of Accounts to BIR
-Coordinate with the internal & external auditors
-Act as administrator in peachtree accounting system that regularly update the system for any change in structure, report format, users' access, account code, account name, cost centers code and definitions

Junior Cashier(Treasury Department) à Dispo Philippines, Inc.
  • Philippines
  • juin 2003 à janvier 2007

-Accept days collections, prepares deposit slips, checks/MC application(Dispo) and disburse checks.
-Follow-up and accept accounts payablr voucher for accounting department.
-Prepares aging for accounts payable per week.
-Aging of accounts payable vouchers submitted to finance manager for schedulling of the disbursement voucher preparation.
-Prepares disbursement voucher for all APV's per supplier
-File all disbursement voucher each folder signature
-Entertain calls from banks(confirmation of checks issued) and follow up of checks collection by suppliers
-Issue official receipts on walk-in customers & other company transactions
-Responsible for other confidential matters of the company
-Manage & disburse petty cash fund and replenish the cash once depleted
-Prepares bank documents for telegraphic transfer per principals

Accounting Clerk à Dispo Philippines, Inc.
  • Philippines
  • mars 2001 à juin 2003

-Recording and summarizing of transaction(Gross Sales, Disbursement, sales discount, & cash receipts) on branch maintained at Home office
-Responsible for the schedule of expenses for monthly financial statement
-Summarize & reconcile Home office & Branch current account for the financial purposes.
-Responsible for the filling & maintenance of file accountable documents
-Perform other task that maybe assigne by the immediate superior from time to time necessary to uplift performance of accounting as a whole.

Billing Clerk à Dispo Philippines, Inc.
  • Philippines
  • avril 2000 à mars 2001

-Responsible incoming calls, Taking up order from customers
-Preparing of customer order form
-Checking & inquring status of stocks for ppreparation of invoices, typing of sales invoices/delivery receipts/product sample forms/authorization to pull-out stocks/material withdawal slip/cancellation letter, etc.
-Preparing of weekly sales update report, daily & monthly sales report per HSR division & product withdrawal sli/cancellation transmittal slip forms/credit memo & debit memo

Éducation

Baccalauréat, Bachelor of Science in Accountancy
  • à Saint Vincent's College
  • mars 1998

Im a Bachelor's degree, during my college days..academic scholar..Coz, i have a strong analytical ability, quick learner, achiever and has a sense of resposibility.

Specialties & Skills

Microsoft Excel
Cash Receipts
Microsoft Software
Microsoft Office
Proficient in microsoft office,MS word,MS excell, Power Point, page maker & imaging
 Highly Proficient in MACOLA Accounting Software & PEACHTREE Premium Accounting Software, PEGASUS A

Langues

Filipino
Expert
Anglais
Expert

Formation et Diplômes

 Tax Briefing Seminar February 13, 2009 Revenue District Office 39, South Quezon City  Coursework (Formation)
Institut de formation:
Revenue District Office 39, South Quezon City
Date de la formation:
February 2009