





Review and analysis of accounting records prepared by the accounts receivable, accounts payable, treasury, and tax departments. Downloading issued and received invoices and tracking their recording. Performing monthly bank reconciliations and working papers to ensure timely and accurate monthly closings. Preparing monthly financial statements in Excel. Position type: Full-time, Project-based or fixed-term Contract duration: 3 months Salary: $12,000.00 – $14,000.00 per month Work location: On-site employment


