Description
**Job Description:**
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Manually enter payable invoices; Execute payment settlements and confirm daily payments; Support bank reconciliation and payment controls; Assist in monitoring expenses (travel, credit cards, logistics); Ensure accurate records and support cash flow management; Follow established financial guidelines.
**Mandatory Requirements:**
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Degree in Accounting, Business Administration, Economics, or related fields;
Knowledge of auditing standards and procedures.
Experience with banking platforms and basic understanding of financial routines.
**Desirable Requirements:**
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Organization and prioritization skills;
Resilience;
Strong interpersonal skills;
Autonomy;
Problem-solving ability;
Proactivity.
**Employment Type:**
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CLT (Consolidation of Labor Laws)
**PwD (Persons with Disabilities):**
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NOT APPLICABLE
**Benefits:**
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Health insurance;
Dental insurance;
Psychological support;
Meal allowance of R$ 550.00 and an on-site cafeteria with meals at no cost;
Total Pass;
Transportation allowance or commuting subsidy;
Partnership agreements with educational and service institutions;
Education assistance;
Attendance bonus: 6% of base salary;
Your special day off during your birthday month;
Açaí and ice cream available;
Opportunities for growth and development;
**Work Location:**
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Rua João Huss, 116, Gleba Palhano, Londrina/PR.
**Working Hours:**
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8:00 AM to 6:18 PM
**Additional Information:**
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100% in-person work model.