




Job Summary: Finance professional responsible for monitoring cash flow, optimizing liquidity, providing strategic reports, and implementing internal controls. Key Highlights: 1. Cash flow and liquidity monitoring and optimization. 2. Preparation of strategic financial reports for the executive board. 3. Implementation of internal controls and development of KPIs. Description: Apply quickly via email: Requirements and Qualifications: * Bachelor's degree in Business Administration, Finance, or related fields; * Prior experience in the field; * Data analysis skills; * Leadership ability; * Proficiency in financial routines and Excel. Desirable: * Experience in the real estate or condominium sector; * ERP system proficiency; * Negotiation skills and long-term financial forecasting ability. Responsibilities and Duties: * Monitor cash flow and optimize liquidity to support operations and investments. * Provide monthly financial reports to the executive board, including insights and strategic recommendations. * Implement internal controls to ensure compliance. * Develop performance indicators (KPIs). Benefits: Meal Allowance or Food Voucher, Transportation Voucher, Health Insurance with No Co-payment, Dental Plan, Gympass, Food Basket, Educational Institution Partnership, Pharmacy Partnership, SESC Benefit, Workplace Gymnastics Working Hours: Business hours. Knowledge: Education: Bachelor's Degree \- (Administrative), Business Administration, Accounting, Economics, Financial Management \- Completed 2511110202181791155


