




Job Summary: Detail-oriented and committed professional responsible for bank account reconciliations and ensuring traceability of financial transactions, collaborating with Treasury and Internal Audit. Key Highlights: 1. Close collaboration with key areas such as Treasury and Internal Audit. 2. Essential role in ensuring the integrity of financial information. 3. Opportunity to apply knowledge in reconciliations and accounting. ***Job Description*** We are seeking a detail-oriented and committed professional to ensure bank account reconciliations and traceability of the company’s financial transactions. This position closely collaborates with Treasury, Internal Audit, and other internal departments to maintain the integrity of financial information. ***Requirements*** Education: Bachelor’s degree in Accounting, Finance, or related fields Experience: 1–2 years in auditing, accounting, or bank reconciliation roles ***Knowledge/Skills*** Bank and accounting reconciliations Account cleansing Accounting standards and auditing principles Accounting for legal entities Traceability of financial transactions Data analysis Effective communication Problem-solving Order and discipline Results orientation Initiative and proactivity Key Responsibilities Perform daily bank account reconciliations Support daily internal control audits Prepare monthly accounting records for small legal entities Ensure daily traceability of banking transactions ***What We Offer*** Salary: $17,000 net per month Weekly payments Statutory benefits Subsidized cafeteria Work schedule: Monday–Thursday, 8:00–18:00 hrs; Friday, 8:00–16:00 hrs Salary: $15,000.00 per month Benefits: * Company parking * Free parking * Cafeteria service Workplace: On-site employment


