




Job Summary: The professional will be responsible for performing accounting entries, reconciliations, preparing trial balances, and assisting in tax calculations, aiming for continuous improvement of processes. Key Highlights: 1. Perform daily accounting entries accurately 2. Carry out bank and accounting account reconciliations 3. Contribute to the continuous improvement of accounting processes Description: What you need: * Bachelor's degree in Accounting; * Microsoft Office Suite; * Knowledge of corporate accounting and finance. Your day-to-day responsibilities: * Perform daily accounting entries, ensuring accuracy and compliance with accounting standards; * Carry out bank and accounting account reconciliations, identifying and correcting discrepancies; * Prepare and analyze trial balances and accounting statements, supporting the preparation of financial statements; * Assist in tax calculations and fulfillment of tax obligations; * Collaborate with other departments to provide accounting and financial information as required; * Contribute to the continuous improvement of accounting and administrative processes within the finance department; * Identify accounting non-conformities and risks; * Review accounting structure: accounts, cost centers, and managerial allocations; * Organize monthly (internal) and quarterly (external) meetings with the accounting partner; * Stay updated on current accounting standards and practices. 2512180202551924999


