- Carrying out financial operations, daily costs and entries, establishing the accounting system, cost centres, tax and deduction, multi-branch company transactions, activities, inventory and bank reconciliations, advances, receivables, depreciation, asset management, liquidity, financing and financing alternatives.
- Preparing final accounts, statements and financial reports for the budget and financial position
- Developing financial plans, budgets, and bank, customer, and supplier transactions
- Follow up on human resources and measure performance and profitability
Requirements:
Experience in the same field
Language requirements:
English-fluent
Employment type:
Full Time
Salary Range:
Unspecified
Benefits and Other Informations:
- a wage
- Housing allowance
- Medical insurance
- Annual ticket