




Job Summary: This role verifies, reconciles, and oversees incoming cash flows to ensure financial accuracy, tax compliance, and fraud prevention. Key Responsibilities: 1. Daily sales closing audit and payment validation 2. Ensuring compliance with accounting standards and tax obligations 3. Identifying irregularities, omissions, or fraud in revenue * Verifies, reconciles, and oversees the company's incoming cash flows to guarantee financial accuracy, tax compliance, and fraud prevention. Responsibilities include auditing daily sales closings, validating payments, reviewing internal policies, and ensuring revenue is correctly recorded in financial statements. * **Payment Verification:** Confirm that all received payments (cash, cards, bank transfers) match supporting documentation. * **Compliance:** Ensure revenue records comply with local accounting standards and tax obligations, as directed by the General Accountant. * **Irregularity Detection:** Identify errors, revenue omissions, or fraud, such as fictitious returns, unauthorized discounts, or unrecorded revenue. Salary: $11,000\.00 \- $13,000\.00 per month Work Location: On-site employment


