I help businesses organize information, keep records accurate, and keep day-to-day work moving.
My background is in banking, data analysis, reporting, research, and operations. I currently work as an Analyst in a global bank, with previous experience in Treasury and Balance Sheet Management. My work has involved data entry and validation, Excel and Google Sheets, reporting, research, reconciliation, documentation, administrative coordination, and process improvement.
I am particularly interested in remote work involving Data Entry and Data Management, Administrative Support, Research, Reporting/MIS, and Operations. I am comfortable working with structured information, checking details across multiple sources, meeting deadlines, and learning new systems and workflows quickly.
Experience: 1 - 2 years
Strong experience using Excel for data management, reporting, analysis, reconciliation, trackers, and process automation.
Experience: 2 - 5 years
Experienced in organizing, maintaining, validating, and reconciling structured data across recurring professional workflows.
Experience: 2 - 5 years
Experienced in entering, updating, organizing, and validating structured information as part of professional reporting and operational workflows.
Experience: 2 - 5 years
Experienced in documentation, record maintenance, reporting, coordination, follow-ups, and recurring administrative processes.
Experience: 1 - 2 years
Experienced in analyzing financial and operational data, identifying discrepancies, and summarizing information for reporting and decision-making.
Experience: 6 months - 1 year
Experienced in improving repetitive workflows and developing spreadsheet-based solutions to reduce manual work and processing time.
Experience: 6 months - 1 year
Experience comparing records, identifying discrepancies, investigating breaks and breaches, and checking consistency across data sources.
Experience: 2 - 5 years
Experience supporting projects through task tracking, coordination, documentation, and monitoring of deliverables.
Experience: 2 - 5 years
Comfortable using Google Sheets for data organization, trackers, collaboration, and basic analysis and reporting.
Experience: 1 - 2 years
Professional experience analyzing financial and balance-sheet data, liquidity positions, funding flows, and related management information.
Experience: 2 - 5 years
Experience preparing and maintaining reports, procedures, supporting documents, records, and business documentation.
Experience: 2 - 5 years
Experience coordinating tasks, information, deadlines, and stakeholders across professional and organizational work.
Experience: 2 - 5 years
Experience in academic, market, financial, and web research, including gathering, validating, organizing, and summarizing information.
Experience: 6 months - 1 year
Working knowledge of VBA for Excel automation, including tools developed to simplify repetitive reporting workflows.
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