Description
Job Summary:
Professional responsible for financial control, bank reconciliation, bill issuance, and administrative support.
Key Highlights:
1. Accounts payable and receivable control and posting
2. Bank reconciliation and bill issuance
3. Support in financial and administrative routines
Accounts payable and receivable control and posting;
Bank reconciliation;
Bill issuance;
Support in preparing cash flow statements;
Organization and filing of financial documents;
Interaction with clients, suppliers, and internal team;
Support in administrative routines of the finance department;
Data entry and maintenance in the system.