




Work in the company’s finance area, focusing on results analysis, budgetary control, and support for strategic decision-making. The professional will be responsible for ensuring the integrity of financial information and supporting management in planning and controlling costs and expenses. **Responsibilities** * Prepare and analyze managerial reports and financial statements (Income Statement, Balance Sheet, Cash Flow Statement); * Perform budgetary control, monitoring variances between actual and forecasted results; * Support monthly results consolidation and accounting closing; * Develop and monitor performance indicators (KPIs); * Support economic and financial feasibility analysis of projects; * Identify opportunities for cost reduction and process optimization; * Participate in the preparation of forecasts, budgets, and strategic plans; * Ensure compliance with internal policies and accounting standards. **Requirements** * Bachelor’s degree in Accounting Sciences, Business Administration, Economics, or related fields; * Prior experience in Controller, Financial Planning, or Accounting areas; * Intermediate or advanced Excel skills and ERP systems knowledge (e.g., SAP, Protheus, TOTVS, or similar); * Strong analytical ability, organizational skills, and attention to detail.


