I am Allyssa C. Villacencio, a Bachelor of Science in Accountancy graduate from Tarlac Christian College. I am writing to express my interest in applying for the opportunity in your company.
Although I am a fresh graduate, I already gained hands-on experience through my internship and part-time work at S & P Accounting and Bookkeeping Service, where I assisted in bookkeeping, BIR tax filing, government compliance processing, and financial record management. I also handled SSS, PhilHealth, and Pag-IBIG filings and used Microsoft Excel for reports and documentation.
I am detail-oriented, responsible, and eager to learn. I can adapt quickly to new tasks and work well both independently and with a team. I am very interested in building my career in accounting, audit, tax, or related back-office roles where I can continue to grow professionally while contributing positively to your organization.
I have attached my resume for your review. I would truly appreciate the opportunity to discuss wwhow my skills and willingness to learn can be an asset to your team.
Thank you for your time and consideration. I look forward to hearing from you soon.
Experience: Less than 6 months
Experienced in bookkeeping, financial record management, and financial reporting support, with strong attention to detail, accuracy, and compliance in accounting processes.
Experience: Less than 6 months
Skilled in Microsoft Excel, including data management, spreadsheet creation, financial reporting, and the use of formulas and functions to ensure accuracy and efficiency in accounting tasks.
Experience: Less than 6 months
Experienced in assisting with tax preparation, BIR tax filing, and compliance requirements, with strong attention to detail and accuracy in financial record management.
Experience: Less than 6 months
Experienced in creating and processing client invoices using invoicing software, with strong attention to accuracy and record-keeping.
Experience: Less than 6 months
Skilled in bookkeeping, financial record maintenance, transaction recording, account reconciliation, and ensuring accurate and organized financial documentation.
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