Description
Job Summary:
Responsible for preparing and settling district and national taxes, submitting financial statements, managing cash flows and bank reconciliations, and handling exogenous information, accounting vouchers, and accounting closings.
Key Highlights:
1. Manages district and national taxes, and financial statements.
2. Performs cash flow management, bank reconciliations, and exogenous information reporting.
3. Handles accounting vouchers, invoice records, and accounting closings.
Preparation and settlement of district and national taxes; submission of financial statements; cash flow management; bank reconciliations; exogenous information; DANE; accounting vouchers; invoice registration; imports; accounts receivable; treasury; accounting closings. Respond to DIAN or regulatory authority requirements.
Work Location: On-site employment