




Job Summary: Responsible for bank reconciliations, accounting journal entries, expenditures and revenues, tax payments, and petty cash, with knowledge of accounting and invoicing. Key Highlights: 1. Bank reconciliation and accounting journal entry handling. 2. Experience in expenditures, revenues, and tax payments. 3. Knowledge of invoicing 3.0 and payment complements. BANK RECONCILIATIONS ACCOUNTING JOURNAL ENTRIES EXPENDITURES AND REVENUES VISITING BANKS TAX AND DUTY PAYMENTS PETTY CASH INVOICING 3\.0 KNOWLEDGE OF PAYMENT COMPLEMENT INVOICING PROACTIVENESS AND WORKING UNDER PRESSURE TECHNICAL OR INCOMPLETE PROFESSIONAL ACCOUNTING KNOWLEDGE. Employment Type: Full-time Salary: Starting from $10,000\.00 per month Benefits: * Option for an indefinite-term contract Work Location Type: * On-site Workplace: On-site employment


