REINA L. RONQUILLO
Block 4, Lot 46 Villa De Oro Subdivision, Sta. Rosa, Laguna, Philippines
Mobile no.+63- 917-7274404 Landline (049)502-8419
E- mail address: [email protected]
OBJECTIVE
To seek further challenges and enhance spectrum of my knowledge as well as my skills to contribute significantly to the growth of an international organization.
EXPERIENCE
June 01, 2016 – Present
Entenso Equities, Inc.
Accounting Supervisor
Review GL Transaction postings.
Immediate prepare journal entries for payment voucher with Home/Branch Account as received from AP Staff.
Update lapsing schedule based on received report.
Verify Fixed Asset entered in Store use. Update lapsing schedule, if necessary.
Prepare per month journal entry for the amortization of Prepaid Expenses account for the duration of the coverage.
Prepare Notes to Financial Statement for all accounts with significant increase/decrease from previous month end from prior year.
Monitor, update and verify various employee deductions such as appliance loan, tax payable, cash advances, lost and unsurrendered ID, penalties etc..
Prepares monthly schedule of P & L account.
Prepare confirmation of account balances for audit purposes.
Taxes, Permits and licenses concerns.
Prepares monthly/annual expanded withholding Tax & compensation.
Generate and print quarterly creditable withholding tax for all suppliers.
Generating details of creditable withholding tax as requested by suppliers.
Complying LOA reports to BIR examiner and other BIR concerns.
Generating report Gross Sales as needed for Business Permits (Annually)
Generating and printing Books of Account such as Cash Disbursement Books, Cash Receipts Books, General Journal, General Ledger and Journal Entries. (Annualy).
Generating, reconciling and printing Inventory Listing (Annual).
July 24, 2014- May 31, 2016
Ayagold Retailers, Inc. (Merkado Supermarket)
Accounting Supervisor
Checking and Posting all disbursements to SAP.
Monitoring all aging to all suppliers Trade & Non-Trade.
Checking of daily Cashiers Audit Notification Report.
Checking monthly Loss Brokerage Report.
Checking and monitoring work of staff daily.
Prepares weekly cash position.
Prepares weekly cash flow (actual vs. forecast).
Prepares project disbursements (UP- Diliman branch).
Prepares monthly accrual.
Posting monthly accrual/entries to SAP.
Prepares monthly Expanded Withholding Tax & Compensation.
Prepares monthly VAT Payable.
Prepares monthly bank recon (Metrobank & BPI).
Prepares schedules needed by the auditors.
April 08, 2013 – June 15,2014
TenkieBox Concepts, Inc.
Accounting Supervisor
Monotor daily collection 12 branches
Prepares cash position daily
Reconcile collection vs. bank
Coordinate all bank transactions.
Prepares Financial Statement all branches.
Checking Sales Orders encoded by Retail Team and copy AR Inv.
Checking weekly Statement of Account for HO Billing.
Preparing Weekly Statement of Account for HO Billing.
Approving Purchase Ordet to SAP.
Appying deposits/payment to open Statement of Account.
Reconcile check released to SAP.
Feb. 22, 2010 – April 05, 2013
HM CATV Inc. – Sky Cable
Balibago Complex, Sta. Rosa , Laguna
Accounting Officer-Southern Luzon
Checking all accounts payable & check voucher prepared by staffs.
Monitoring & consolidation of cash position weekly
Request funds weekly to Head Office for disbursements.
Consolidation & checking of account analysis prepared by staff
Checking of cash position vs. balance to Trial balance.
Checking monthly/quarterly mandatory’s & BIR payments including reliefs for all systems
Checking of Month to Date Expenses monthly
Analyzing expense account
Monitoring of cash balance daily
Checking work of staffs
June 23, 2008 – Feb. 19, 2010
PRODYN BUSINESS CONSULTANT INC.
13 Antipolo St. 4th Flr. Acrosity Bldg. Makati City
Accounting Supervisor
Prepares monthly Financial Statements
Prepares monthly Trial Balance
Prepares monthly Bank Reconciliation
Prepares monthly remittance of Expanded Withholding Tax (Suppliers)
Prepares monthly/quarterly VAT
Prepares monthly project costing
Prepares BIR Relief
Checking all transaction in Peachtree system
Prepares monthly schedules
Checking of revolving funds
Checking outstanding balance of cash advance
Checking work of staffs
March 20, 2002- May 15, 2006
PRICESMART MEMBERSHIP SHOPPING
Fort Bonifacio, Taguig, Metro Manila
Accounts Receivable Clerk
Develops and maintains a systematic record of accounts receivable including the bills, invoices, budgets and other routine financial records for easy monitoring and reference.
Furnishes and processes invoices, cheques, payment advices and other documentation related to accounts receivable.
Reconciles invoices, prepares and dispatches payments and related correspondences to creditors.
Improvises classification as well as numbering system for more efficient accounting documentation results.
Enters data into ledger and in JD Edward System.
Prepares bank reconciliation.
Verifies accuracy of purchase orders and invoices
Ensures accuracy of documents and records prior to financial transactions.
Prepares debtors statements and listings as well as reports on money outstanding.
.Compiles financial documents based on estimated revenues and expenses as well as previous budgets.
Comes up with report that summarizes expenditures corresponding its receipt.
Posts daily bank statement.
Does other duties as directed by the management.
Feb. 17, 1995- March 19,. 2002
MSM Corporation (SM Ortigas)
SM MegamallOrtigasCenter Mandaluyong
Accounting Assistant
Calculates and issues bills, invoices, accounting statements applying the accounting policies as well as the established accounting procedures set by the company.
Summarizes the cash receipts and cash payments of the company over the same time period covered by the income statement.
Processes and verifies financial records, such as accounts payable and receivable and enters data into ledger or computerized system.
Furnishes vouchers for monthly rentals and expenses such as rent on First Asia Realty Development Corporation, securities, janitorial salaries and billings.
Prepares monthly Remittance of Expanded Withholding Tax/ Annual Tax Returns.
Prepares statement of account to Banco De Oro Star Applicance , Major Consignor and other Affiliates.
Furnishes monthly Remittace of Expanded Withholding Tax/ Annual Tax Returns.
Encodes cash disbursements books and cash receipts books.
Maintains filing and records systems for easy reference.
Facilitates and prepares of bank reconciliation.
June 1994- December 1994
The Landmark
Ayala Avenue, Makati City
Accounting Clerk
Maintained a systematic record of purchase orders, return slip, stock withdrawals, mark-up and mark- down inventory items.
. Developed and devised classification and numbering system that streamline computer invoicing.
Posted journal entries and reconciled accounts.
Prepared end month postings in books of account.
EDUCATION
1990-1994 Rizal Technological University
Boni Avenue, MandaluyongCity
Bachelor of Science In Business Administration major in Accountancy
1986- 1990 ArellanoUniversityPlaridelHigh School
MandaluyongCity
High School
1980- 1986 GeneralEmilioAguinaldoElementary School
Punta Sta. Ana, Manila
Elementary
TECHNICAL SUMMARY
MS Office Application, Excel, Word, Lotus 1-2-3, Access AS400 and JD Edwards/Peachtree System./ EPICOR / SAP/ORACLE/ MMS/JDA.
BIRTHDAY : September 27, 1973
BIRTH PLACE : Manila
CITIZENSHIP : Filipino
STATUS : Married
REFERRENCES :
Ms. Analisa P. Crucillo Ms. Nanette C. Manalo
S & R Membership (Pricesmart)– Disb. Officer SM Pampanga – Branch Acctg. Mgr.
Ms. Clonita Chico Ms. Cristina R. Padicio
S & R Shopping – VP HR Timekeeping Supervisor – MMSM
Jenny Mesa
Media Manager – Filinvest Land Inc.
Filinvest Land Inc.