JobDescription
Responsible for recording journal entries
Prepare daily and monthly bank reconciliation
Update accounts receivable
Update accounts payable and performs reconciliations
Assist in the processing of balance sheets income statements and other financial statements
Update financial data to ensure that information will be accurate and available when needed
Maintain the archiving of financial documents
Keep documentation of all internal transactions
Proficient in working with accounts receivables passing all movements until extracting balances
Proficient in working with bank accounts through all movements until the completion of the bank reconciliation
Proficient in working with treasury accounts through all movements until the completion of the daily treasury report
Job Requirements
From 3 to 5 years of experience in all Accounting activities
Good command of English
Excellent knowledge of Microsoft Office
Excellent communication problem solving and time management skills
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