- Maintaining, registering, controlling and reconciling the financial documentation of the company according to the legislation in force (Invoice, cash register, bank, payroll);
- Monthly statements of books, insurance and various taxes;
- Reconciling and tracking suppliers and customers;
- Maintaining relations with various institutions, such as VAT, Tax Directorate, Banks, etc .
- To prepare Periodic Financial Reports, as well as to be able to compile Annual Statements (Balance Sheet, SAP, Cash Flow, etc.);
- Have a degree in finance or accounting;
- Have more than 5 years of work experience in the position;
- Financier and in closing the Financial Statements;