
Mary Ann P
I will perform a forensic Ecommerce cleanup for Shopify and Amazon via A2X
Compétences

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Portfolio
Expérience professionnelle
Service Officer
BDO Network Bank âą Temps plein
May 2019 - Dec 2024 âą 5 yrs 7 mos
âą Supervises the over-all cash and marketing operations of the branch by promoting continuous enhancement of quality service, customer handling, accurate processing and operational efficiency. âą Supervises the efficient cash servicing to clients and cash transfers to other branches/banks, acceptable accuracy level on cash and sufficient management of cash requirements. âą Ensures secured and continued availability of ATM operations to meet customer needs. âą Assumes accounting responsibility on vouching of transactions for branches without Accounting Assistants. âą Ensures that all transactions are correctly, completely and timely recorded in the Core Banking System. âą Prepare monthly reports including bank reconciliation. âą Ensures adherence to prescribes bank policies and procedures, internal control, external regulatory requirements and compliance to service standards of branch personnel under his supervision. âą Handles the section's personnel requirements, promotes branch personnel improvement/advancement and harmonious work relationship. âą Assists in achieving branch financial targets. âą Sees to it that all policies, guidelines, rules, regulations and operational procedures are strictly complied with at the branch level. âą Acts as alternate Consumer Assistance Officer (CAO). Performs other duties that may be assigned from time to time.
Service Officer
City Savings Bank âą Temps plein
Jan 2018 - Feb 2019 âą 1 yr 1 mo
âą Ensures that all transactions are correctly, completely and timely recorded in the Core Banking System. âą Files and maintains Accounting and Tax records of the Branch such as proofsheets, subsidiary ledgers and general ledgers, business tax records and BIR returns. âą Check correctness of data being typed/encoded in every loan document. âą Conducts unannounced physical count of Tellerâs cash, Cash-in-Vault (CIV) at least twice a month to check if actual cash tallies with records. âą Report to Management any incidents that may affect the effectiveness of operations. âą Prepare monthly reports including bank reconciliation. âą Sees to it that all policies, guidelines, rules, regulations and operational procedures are strictly complied with at the branch level. âą Participate in deliberation of loan accounts for approval and endorsement to higher approving authorities. âą Utilize loan management and billing systems.
Branch Accountant
Philippine Resources Savings Banking Corporation âą Temps plein
May 2005 - Dec 2017 âą 12 yrs 7 mos
âą Record and monitor all financial transactions conducted at the branch. âą Perform daily bank reconciliations and ensure all deposits and withdrawals are properly documented. âą Maintain general ledger and subsidiary ledgers. âą Maintain up-to-date records of inventory and fixed assets. âą Prepare and ensure timely submission of financial data and reports (daily, weekly, monthly). âą Submit reports to head office and flag any financial issues or irregularities. âą Ensure all branch financial practices comply with company policies and government regulations. âą Facilitate internal and external audits by providing necessary documents and explanations. âą Implement recommendations from audit findings. âą Participate in deliberation of loan accounts for approval and endorsement to higher approving authorities. âą Utilize loan management and billing systems. âą Manage billing, collections, and follow-up with clients for payments.