Sheika C. Javellana, CPA
Philippines
Mobile: +639567894408
E-mail: [email protected]
Career Objective
To engage in a career that integrates the development of knowledge and skills, through exposure to new ideas, for the professional and financial growth and experience, as well as the to contribute in the growth of the company and the community.
Highlights
○ Accounts Reconciliation ○ Keen to details
○ General Ledger ○ Goal-oriented and hardworking
○ FS Preparation and Reporting ○ Flexible and Resourceful
○ Accounts Receivable/Payable ○ Organized
○ Payroll and Cash Management ○ Integrity
Education
Bachelor of Science in Accountancy
Central Philippine University
Jaro, Iloilo City
Graduated on April 2015
Cum laude
Achievements
Passed the CPA Board Examination (October 2015)
Professional Experience
November 2018-Present –Accountant I at Iloilo Science and Technology University
Preparation of financial statements
Ensure completeness of vouchers and proper charging in various funds
BIR filing and remittance
April 2018-November 2018 -Accountant at Proventa International
Responsibilities
Preparation of billing and update of collections
Ensure that BIR remittances are filed and paid accordingly
Prepare journal entries and ensure completeness and accuracy of records
Process cash disbursements and check preparation
Monitoring of petty cash and cash position
Financial statements preparation
Provides support in financial schedules for auditing purposes
Maintains accounting controls by preparing and recommending policies and procedures
Process billing and sending to clients, also includes follow up outstanding receivables and recording of revenues in the books
Responsible in preparing Payroll related activities
Assist in computation of final pay
Administer employees concerns regarding contributions and loans
Liaised with headquarters for filing of VAT EC Sales
Other task assigned
January 2016 – April 2018 -Accounting Assistant at Global One Integrated Business Services, Inc. (subsidiary of Megaworld Corporation)
Responsibilities:
Monthly preparation and reporting of Financial Statements
Summarizes current financial status by collecting information; preparing balance sheet, profit and loss statement, cash flows and other reports
Substantiates financial transactions by auditing documents
Guides colleagues by coordinating activities and answering questions
Prepare Monthly Reconciliations
Reconciles financial discrepancies by collecting and analyzing account information
Preparation of monthly end reports and month-end adjusting entries
Posting of GL entries related to vendor payments, employee reimbursements and related taxes
Assists during audit
Administer BIR and SEC reports
In-charge of billing and collections
Update of Cash Position
Monitoring of Cash Advances and Employees’ Loan Accounts
Perform other work/reports assigned