Description
Job Summary:
A finance professional responsible for controlling expenses, performing bank reconciliations, issuing financial reports, and providing internal financial support.
Key Highlights:
1. Handling financial routines and accounts payable
2. Monitoring cash flow and financial postings
3. Supporting internal departments and suppliers with payment information
***RESPONSIBILITIES:***
* Control expenses and execute accounts payable routines
* Perform bank reconciliations, financial transactions, and bank statement verifications
* Issue and verify financial reports
* Monitor cash flow
* Record financial entries in systems and spreadsheets
* Provide internal support, assisting departments and suppliers with payment-related information as needed
* Ensure timeliness, organization, and compliance of financial processes
***REQUIREMENTS:***
* Proactivity, dynamism, and communication skills
* Proficiency in Microsoft Office suite
* Prior experience in the role
***EDUCATION:***
* Bachelor's degree completed or in progress in Business Administration, Accounting, or related fields
***EMPLOYMENT TYPE:***
* CLT (Consolidation of Labor Laws contract)
***WORK SCHEDULE:***
* Monday to Friday, from 08:00 to 18:00 HRS
Benefits:
* Profit-sharing program
* Meal allowance
* Food voucher
* Transportation voucher
Work Location: On-site