




**\*Cash flow management, maintaining financial records, including expenses, revenues, and payments**; additionally, responsible for financial planning and budget preparation. * **Record transactions:** Document sales, purchases, payments, and other daily financial movements. (daily cash reconciliation sheet) * **Enter information:** Input data into accounting software and prepare correspondence and administrative documentation. * **File and organize:** Maintain organized and up-to-date physical and digital accounting files with their respective supporting documents. * **Respond to inquiries:** Serve as the point of contact for customer and supplier inquiries related to the accounting department. * ***Essential requirement: proficiency in TNS software*** Employment type: Full-time


