




Your main responsibilities involve managing all financial transactions—from fixed payments and variable expenses to bank deposits and budgets—as well as auditing financial documents and procedures, reconciling bank statements, and calculating tax payments and filings. Key Responsibilities · Process tax payments and filings · Manage all accounting transactions · Prepare budget forecasts · Publish financial statements on time · Oversee monthly, quarterly, and annual closings · Reconcile accounts payable and accounts receivable · Manage balance sheets and income statements · Report on the company’s financial health and liquidity Profile · Methodical · Frustration tolerance · Excellent communication skills If you meet the requirements, we invite you to apply and begin your application process. Employment type: Full-time Work location: On-site


