Description
Job Summary:
A professional to coordinate financial routines, including accounts payable/receivable, billing, cash flow, and interface with accounting, pursuing continuous improvements.
Key Highlights:
1. Implement financial and billing routines
2. Monitor cash flow and financial forecasts
3. Perform accounting and tax routines and identify improvements
The company seeks a Financial Coordinator in São Paulo (Brooklin).
**Responsibilities:**
Implement financial routines (accounts payable and receivable, billing, and reconciliations). Enter, verify, and approve entries in financial/ERP systems. Monitor cash flow and forecasts. Directly handle accounting and tax routines in collaboration with external/internal accounting. Verify invoices, taxes, and withholdings. Ensure compliance with tax and financial deadlines. Interface with internal departments (customer service, media, production). Support monthly closing and management reporting. Work in a high-volume demand environment. Identify and implement process improvements.
Previous experience as Financial Manager, Financial Supervisor, Accounting Coordinator, or Financial Planning Coordinator may indicate alignment with some activities of this position.
Bachelor's degree required. Relevant experience required.
**Compensation and Benefits:**
* Salary: Salary range will be disclosed during the interview.
* Meal Voucher
* Transportation Voucher
**Additional Information:**
* Contract: Permanent - On-site.
* Duration: Full-time
* Working hours: To be determined.