




Job Summary: We are seeking an accounting and finance professional to manage the full accounting cycle, treasury, financial closings, and balance sheets in a dynamic environment. Key Responsibilities: 1. End-to-end accounting cycle management and treasury control. 2. Participation in financial closings and preparation of balance sheets. 3. Dynamic and flexible work environment with remote work options. We seek a candidate with experience in accounting and finance. Responsibilities include comprehensive accounting cycle management, recording journal entries (e.g., supplier invoices, accounts payable, and sales), and performing daily bank reconciliations to ensure accuracy of all transactions. The candidate will be responsible for treasury control, overseeing customer collections and supplier payments—critical to sound financial operations. The role includes participation in monthly and annual financial closings and support in preparing balance sheets. Financial analysis capability and process improvement skills are highly valued. We seek a proactive, eager-to-learn individual who can work independently and collaboratively. A dynamic and flexible work environment with remote work options is offered. A university degree in Business Administration and Management, Economics, or a related field is required. Advanced proficiency in SAP software and intermediate English language skills are mandatory. Prior ERP system experience is considered an advantage, along with the required three years of professional experience in the role.


