




Job Summary: Ensure accurate reconciliation, validation, and control of accounting and financial transactions, guaranteeing consistency and reliability of information. Key Highlights: 1. Key role in ensuring the consistency and reliability of financial information. 2. Extensive experience required in reconciliations and accounting ERP systems. 3. Opportunity for accounting technicians or advanced accounting students. **Job Objective** Ensure accurate reconciliation, validation, and control of the organization’s accounting and financial transactions, ensuring consistency among banks, corporate credit cards, petty cash, travel allowances, reimbursements, electronic invoicing, and various ERP modules, thereby contributing to the reliability of financial information. **Academic Qualifications** **Mandatory:** * Technician, technologist, or final-semester student in: * Accounting * Public Accounting * Accounting and Financial Management **Desirable:** * Bachelor’s degree in Public Accounting. **Required Experience** 2 to 4 years of experience in similar roles. **Specific Experience in:** Mass bank reconciliations Corporate credit card reconciliations Review of accounting supporting documentation Petty cash validation Internal audit of expenses and legalizations Management of travel allowances and reimbursements Electronic invoicing / Radian Accounting ERP systems (Ultra preferred) Cross-module integration among accounting, treasury, procurement, and accounts payable. Indefinite-term contract. Job Type: Full-time Work Location: On-site employment


