Description
Job Summary:
Responsible for corporate financial control, managing accounts payable, cash flow, and payments, ensuring timely execution.
Key Highlights:
1. Corporate financial control
2. Management of accounts payable and cash flow
3. Organization and timely execution of payments
**General Description:**
Responsible for corporate financial control, directly handling accounts payable management, cash flow, and payment organization, ensuring adherence to deadlines and accurate financial resource movement.
**Main Responsibilities:**
* Count and verify amounts (cash, checks, and other payment methods);
* Organize and schedule supplier payments, taxes, and general expenses;
* Execute payments via internet banking;
* Monitor daily cash flow;
* Record and update financial information in spreadsheets (Excel);
* Perform bank reconciliations;
* Organize financial documents and payment receipts;
* Support finance department routines;
* Ensure compliance with payment deadlines and internal policies.
**Requirements:**
* Completed high school education (bachelor’s degree in Administration, Accounting, or related fields currently pursued is preferred);
* Experience in finance, treasury, or accounts payable;
* Basic knowledge of finance department routines;
* Proficiency in Excel (basic to intermediate level);
* Familiarity with internet banking;
* Organizational skills and attention to detail;
* + Responsibility and ethics;
+ Agility and discipline;
+ Strong communication skills;
+ Ability to work under deadlines;
+ Reliability and confidentiality regarding financial information.