About the Job
This is a critical full-time role responsible for maintaining financial integrity and operational efficiency.
Main Responsibilities:
* Process accounts payable and receivable transactions accurately and in a timely manner.
* Reconcile bank statements, maintain detailed records of all financial activities.
* Support the preparation of monthly financial reports, ensuring data accuracy and transparency.
* Collaborate with colleagues to develop and implement effective budgeting and forecasting strategies.
Key Skills:
The ideal candidate will possess excellent organizational, analytical, and problem-solving skills. Strong attention to detail and ability to work accurately under pressure are essential.
Benefits:
This role offers a competitive compensation package, including opportunities for growth and professional development.