This is an excellent opportunity to join a growing company and you must be fluent in written and oral French to qualify for this position.
You will have the following Duties:
*Performing daily cash and bank reconciliations.
*Journal Postings
*Prepayments and Accruals
*Query Resolution
*Purchase ledger invoicing
*Banking and balance sheet reconciliations including journal postings
*Highlight areas of financial risk within the cash process to management on a timely basis
*General administrative tasks
*Assisting with interim/ year-end audit and tax packs
*Responding to Ad hoc queries from staff and management
We expect interest in this role to be very high due to the location, salary and permanent potential so apply now to avoid disappointment.
Reference no: 20342
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