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Eleuterio Elloren, Accounting Assistant

Eleuterio Elloren

Accounting Assistant·Tornado Group

United Arab Emirates

Bachelor's degree, Accountancy

Work experience

Total years of experience: 21 years, 2 months

Accounting Assistant

October 2009 - Present

Tornado Group

Abu Dhabi, United Arab Emirates

October 2009 - Present

Tornado Group ( October 11, 2009 - Present)
Contracting company specialized in Water Treatment, Swimming Pools & Fountains, Landscape & Irrigation,
Pumps & Accessories and Oil Fields.
Tel. no. 02-666-4110 / Fax. No.02-666-9929
P.O Box # 52069 Abu Dhabi, U.A.E

Accounting Assistant
➢ Entered approved vouchers and invoices into accounts payable subledger. Performed month-end journal entries and reconciliation. Resolved inventory issues in coordination with vendors, store keeper and projet manager.
➢ Process monthly payroll for more than 600 plus workers and update their files including files for newly hired workers such as atm payroll account application etc.
➢ Encoding and monitoring of inventory transactions such as verifying accurate standard costs and reconciling inventory acccount againts the store.Audit and develop an inventory analysis reports and assisting in the improvement of internal controls related to inventory.
➢ Performed general office duties and administrative tasks.
➢ Managed petty cash for contstruction projects and general expense accounts.
➢ Prepare labels and maintain files as needed within the department.

Company industry:
General Engineering Consultancy
Job role:
Accounting and Auditing

Accounting Personnel

August 2006 - June 2009

Manila Teacher's Savings and Loan Association Inc

Philippines

August 2006 - June 2009

Manila Teacher's Savings and Loan Association Inc. ( August 16, 2006 - June 30, 2009)
Private financial institution for teachers and government employees
U.N Avenue Manila, Philippines

Accounting Personnel
➢ In-charge of daily balancing of subsidiary ledger for 10 branches and monitoring thier transactions.
➢ Assisting the completion and preparation of monthly general ledger account reconciliation, income statement and balace sheet.
➢ Posting and balancing of remittance and cancellation of customer monthly payment.
➢ Preparation and monitoring of company's payable/expenses such as power, light, water, telephone bills and others.
➢ Process and compute closing of customer account.
➢ Evaluate and monitor in-active account such as dormant, doubtful and apply to co-makers.
➢ Bank reconciliation and processed any journal entries or adjustment required.
➢ Printing and filling of monthly reports.
➢ Respond to any customer quiries.

Company industry:
Banking
Job role:
Accounting and Auditing

Branch Accountant

August 2004 - January 2006

PJL Incorporated

Philippines

August 2004 - January 2006

PJL Incorporated - Cebuana Lhuillier (August 28, 2004 - January 15, 2006)
Pawnshop and Financial Services such as local remittance, non-life insurance, electronic loading,
bills payment and collection services.
Sucat Parańaque branch, Philippines

Branch Accountant/Vault Custodian
➢ In charge of daily transactions of the branch including cashiering, money remittance and encoding.
➢ Maintaining physical count and custody of pawn jewelries, appliances and other items of the branch.
➢ Obtaining accounting reports and other documents of the branch.
➢ Review, audit and verify financial transactions of the branch.
➢ Validate accuracy of all monthly reports before submission to accounting department head office.
➢ Meet and discuss findings to the manager.

Company industry:
Banking
Job role:
Accounting and Auditing

Education

Technological Institute of the Philippines

April 2004

April 2004

Bachelor's degree, Accountancy

Philippines

Bachelor of Science Major in Accountancy Technological Institute of the Philippines, 2000 - 2004

Skills

General Ledger Reconciliation
Expert
General Ledger Reconciliation
Expert
Reconciliation
Expert
Reconciliation
Expert
Journal Entries
Expert
Journal Entries
Expert
Order to Cash
Expert
Order to Cash
Expert
Administrative Organization
Expert
Administrative Organization
Expert
ACCOUNTING
ACCOUNTING
ACCOUNTS PAYABLE
Expert
ACCOUNTS PAYABLE
Expert
ADMINISTRATIVE TASKS
Expert
ADMINISTRATIVE TASKS
Expert
CASH
Expert
CASH
Expert
DESIGNING WASTE
Expert
DESIGNING WASTE
Expert
ENCODING
ENCODING
GENERAL OFFICE
Expert
GENERAL OFFICE
Expert
JOURNAL
JOURNAL
RECONCILIATION
RECONCILIATION
REMITTANCE
Expert
REMITTANCE
Expert
Bank guarantee and letter of credit letirate
Intermediate
Bank guarantee and letter of credit letirate
Intermediate
General Ledger Reconciliation
Expert
General Ledger Reconciliation
Expert
Reconciliation
Expert
Reconciliation
Expert
Journal Entries
Expert
Journal Entries
Expert
Order to Cash
Expert
Order to Cash
Expert
Administrative Organization
Expert
Administrative Organization
Expert

Languages

English

Intermediate

Filipino

Expert

Training and Certifications

Training
Seminar on Bank Guarantee and Letter of Credit
Philippine Institute of Certified Public Accountant, Abu dhabi Chapter
Aug 2013