Core Responsibilities

Register, classify, and analyze the company's accounting transactions, ensuring the accuracy and timeliness of financial information. Prepare periodic financial reports, including balance sheets and income statements. Manage and monitor the organization's cash flow, perform bank reconciliations, and ensure proper administration of financial movements.

Requirements

Bachelor's degree in Accounting, Finance, Administration, or related fields. Over 2 years of experience in accounting, treasury, and administrative functions. Solid knowledge of billing processes, taxes, general accounting, and financial management. Proficiency in Microsoft Office tools, especially Excel.

Additional Information

Experience Level

Mid-Level

Employment Type

permanent

Work Mode

Hybrid