




Support the accounting bookkeeping process and financial record control, contributing to the organization and integrity of information that underpins financial statements and corporate management. * Assist in the reconciliation of accounting and bank accounts; * Support the classification of journal entries and organization of accounting documents; * Monitor the preparation of trial balances, balance sheets, and financial statements; * Support the verification and filing of invoices and receipts; * Assist in the control of provisions and monthly expenses; * Support internal and external audits, when requested.


