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  • Manage and reconcile accounts payable and receivable, ensuring timely payments and accurate invoicing.

  • Prepare and analyze financial statements, including profit and loss, balance sheets, and cash flow statements to provide insights into financial performance.

  • Oversee the general ledger and chart of accounts, guaranteeing the accuracy and integrity of financial data.

  • Process payroll, including calculating wages, deductions, and taxes, while adhering to all relevant regulations.

Knowledge of office management systems and procedures Working knowledge of office equipment, like printers and fax machines Proficiency in MS Office (MS Excel and MS PowerPoint, in particular) Excellent time management skills and the ability to prioritize work Attention to detail and problem solving skills Excellent written and verbal communication skills Strong organizational skills with the ability to multi-task Checking, filling and organizing the files. Basic knowledge in accounting Schedule and plan meetings and appointments

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