




Job Summary: We are seeking a committed and analytical Accounting Assistant to support accounting and administrative management, ensuring accurate recording and control of financial transactions. Key Highlights: 1. Support in accounting and administrative management 2. Ensures accurate recording and control of financial transactions 3. Integration into a proactive work team * **Location:** Valle de Santa Cruz, Tlajomulco * **Schedule:** 08:00 to 17:00 hrs A committed, analytical, and proactive **Accounting Assistant** to join our work team. Position Objective Provide support in accounting and administrative management, ensuring accurate recording and control of the company’s financial transactions. **Main Responsibilities** * Preparation of accounting entries (revenues, expenses, and journal entries) in **CONTPAQi**. * Recording of accounting entries in **Odoo**. * Recording and control of branch expenses. * Uploading and reconciliation of bank statements. * Invoice cancellation and reissuance. * Payroll processing in **NOMIPAQ**. * Support in administrative and accounting tasks inherent to the department. **Essential Requirements** * Basic knowledge of **CONTPAQi**. * Solid accounting knowledge and critical thinking skills. * Mathematical and statistical abilities. * Analytical and problem-solving skills. * Resilience and adaptability to change. * Prior experience in a similar position (desirable). **We Offer** * Statutory benefits * Meal vouchers * Psychology and nutrition services * Gym support * Discounts and preferential pricing * Transportation Please submit your updated CV through this channel. Job Type: Full-time Salary: $14,000.00 per month Benefits: * Option for an indefinite-term contract * Free uniforms * Meal vouchers Application Question(s): * 1. How do you prepare an accounting entry (revenue, expense, or journal entry) in CONTPAQi, and how do you record it in Odoo? What steps do you follow to ensure the information is accurate? * 2. Describe the process you follow to reconcile a bank statement. What would you do if you find discrepancies between the bank and the accounting records? * 3. Explain how you would process payroll in NOMIPAQ and what you would do if you detect an error in the calculation of earnings or deductions after processing it. Workplace: On-site employment


