Responsible for setting up and maintaining robust financial processes, managing day-to-day bookkeeping, and producing high-quality reconciliation reports and asset summaries. Will create insightful presentations to inform and influence key stakeholders and serve as a point of contact for external vendors and third parties—engaging in professional follow-ups, clarifying expectations, and ensuring timely and accurate financial exchanges.
Number of open positions: 1
Experience Level: 2-5 years.
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