NIÑO ANGELO MORALES GENEROSO
Lot 58 Blk 5, Phase 8, Garden Villas Subdivision, Sta. Rosa City, Laguna, Philippines
+639262309095
Results-oriented professional with strong work ethic and over eight years of work experience. Possesses an insatiable drive to achieve and exceed goals. Cash Disbursement Specialist highly skilled in handling complex disbursement functions in a timely efficient manner. Seeking a position that challenges my skills and abilities to their fullest extent.
WORK EXPERIENCES:
1. SGS Philippines Inc., Makati City, Metro Manila, Philippines
Accounting Analyst-Disbursement, December 2013-October 2017
Responsible in processing of payments to suppliers, consultants and employees; Perform and provide support in carrying out the responsibilities of treasury such as preparation and issuance of creditable withholding tax to suppliers (BIR for 2307), reconciliation of supplier’s accounts and ensuring timely and accurate financial reporting.
2. ACE Logistics Inc., Parañaque City, Metro Manila, Philippines
Accounting Clerk-Payable Custodian, July 2009-November 2013
Responsible in processing of payments to various suppliers and maintains petty cash registers; assists in the preparation of financial statements; responsible in preparation of monthly/yearly remittances schedule for submission to BIR.
Additional Experience:
Experience being an OBC (On-Board-Courier) in Jakarta, Indonesia.
EDUCATION:
Bachelor of Science in Business Administration (major in Management Accounting)
St. Paul University Dumaguete, 2005-2009
Dumaguete City, Philippines
SKILLS:
Graduated
Responsible in processing of payments to various suppliers and maintains petty cash registers; assists in the preparation of financial statements; responsible in preparation of monthly/yearly remittances schedule for submission to BIR.
Responsible in processing of payments to suppliers, consultants and employees; Perform and provide support in carrying out the responsibilities of treasury such as preparation and issuance of creditable withholding tax to suppliers (BIR for 2307), reconciliation of supplier’s accounts and ensuring timely and accurate financial reporting.