





**Description** Support cash flow analysis and financial entries Assist in bank reconciliation and payment control Prepare financial reports and support expense forecasting Work with financial systems to record and analyze data **Responsibilities and duties** Support cash flow analysis and financial entries Assist in bank reconciliation and payment control Prepare financial reports and support expense forecasting Work with financial systems to record and analyze data **Requirements and qualifications** Pursuing a bachelor's degree in Administration, Accounting, Economics, or related fields Basic knowledge of Excel and financial mathematics Understanding of accounts payable and receivable Good organizational skills and attention to detail


