




**Description:** We are a Shared Services Center (SSC) of a corporate group. We are in full expansion and seeking talented, committed professionals who wish to grow with us. **Responsibilities:** * Coordinate and supervise the company’s financial routines (treasury, accounts payable, accounts receivable, and credit/collections); * Structure and enhance financial processes and internal controls; * Monitor cash flow and financial projections; * Support accounting and tax management, ensuring compliance with applicable regulations; * Conduct negotiations with financial institutions and suppliers; * Provide reports and analyses to support decision-making; * Develop, guide, and engage the team under your supervision. **Requirements:** * Experience in this role; * Experience managing teams; * Knowledge of accounting and tax regulations; * Experience with cash flow management, foreign exchange closing, financial reconciliations, and management of accounts payable and receivable; * Proficiency in financial analysis and reporting tools. **Skills and Competencies:** * Analytical ability and critical thinking; * Organization and attention to detail; * Strong communication and interpersonal skills (internal and external); * Negotiation skills and results-oriented mindset; * Proactivity and leadership. **This is a fully on-site position, located at the Itajaí/SC Center.** Benefits: * Medical assistance * Dental assistance * Commercial partnerships and discounts * Life insurance * Meal allowance * Transportation allowance Employment type: Direct hire (CLT) Salary: Starting from R$6,000.00 per month Benefits: * Medical assistance * Dental assistance * Life insurance * Meal allowance * Food allowance * Transportation allowance


