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Job Description

·        Manage all accounting transactions

·        Prepare budget forecasts

·        Publish financial statements in time

·        Handle monthly, quarterly and annual closings

·        Reconcile accounts payable and receivable

·        Ensure timely bank payments

·        Manage balance sheets and profit/loss statements

·        Report on the company’s financial health and liquidity

·        Audit financial transactions and documents

·        Reinforce financial data confidentiality and conduct database backups when necessary

·        Comply with financial policies and regulations

·        Experience minimum 7 years

·        Manage petit cash

·        Knowledge of law VAT Taxes 

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