Job Description

Primarily responsible for the preparation of documents supporting payment/remittance of various taxes for all the Trusteed Accounts eligible for TIN and Mutual Funds. Handles reconciliation of balances of withholding taxes payable posted in the general and subsidiary ledgers.

  • Computes taxes of trust accounts and mutual funds for filing and remittance to BIR.
  • Prepares and monitors reconciliation statement report of various taxes payable.
  • Prepares documents relative to any tax requirements needed by the accounts as necessary / as required by BIR.
  • Coordinate with other unit for proper resolution if there are any issues and concerns on the processes being handled by the team.
  • Acts as back up to other staff.
  • Safekeep the relevant files of the unit.
  • Ensures proper upkeep of working area, furniture, computer, and office equipment that assigned are assigned to him.