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Solid Cash
Responsibilities:
- Reconciliation of project balances.
- Preparation and maintenance of reporting.
- Drafting contracts and invoices.
- Correspondence via email with counterparties.
- Entries in accounting tables.
- Maintaining the "Deals" tab (tracking income and expenses for the operational day).
- Consolidation of P&L by projects.
- Reconciliation of balances with counterparties.
- Conducting entries for transactions (later).
- Performing additional tasks during the work process.
Requirements:
- Experience with financial documents and reporting.
- Proficiency in Excel/Google Sheets.
- Ability to conduct business correspondence.
- Attention to detail, accuracy, responsibility.
- Knowledge of English or Slovak will be an advantage.
We offer:
- A friendly team and a comfortable atmosphere.
- Timely payment for work.
- Opportunities for professional growth.
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