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JOB_REQUIREMENTS

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Oversee and maintain accurate financial records, ledgers, and journal entries

Prepare monthly, quarterly, and annual financial statements in compliance with accounting standards

Lead reconciliation of bank accounts, vendor ledgers, and intercompany transactions

Manage VAT filings, corporate tax sequencing, and ensure regulatory compliance

Supervise invoice processing, payment allocations, and receivables tracking

Review and approve accounting entries, ensuring accuracy and consistency

Coordinate with auditors and regulatory bodies for financial reviews and audits

Monitor internal controls and recommend improvements to financial processes

Support budgeting, forecasting, and financial planning activities

Mentor junior accounting staff and provide guidance on complex transactions


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