




Job Summary: Perform financial reconciliations, accounting entries, and fiscal document verification, supporting the monthly accounting closing. Key Highlights: 1. Responsible for bank and financial reconciliations 2. Performs accounting entries and invoice verifications 3. Assists in monthly accounting closing and fixed asset control **Description:** Perform bank reconciliations, financial investments reconciliations, and cash verifications. Record accounting entries for consumption invoices, prepaid expenses, and documents with tax incentives (e.g., SUFRAMA). Verify service invoices received and tax withholdings, ensuring correct application of tax rates. Support fixed asset control and monthly depreciation. Organize and register fiscal and accounting documents, ensuring both physical and digital archiving. Assist in monthly accounting closing and supporting reports. **Compensation Notes:**


