Description
***Main Responsibilities***
· Assist with routines related to **Accounts Payable** and **Accounts Receivable**.
· Perform **daily bank reconciliation** and verify bank statements.
· Issue and verify **fiscal invoices** and bank payment slips.
· Organize and classify financial documents for submission to the accounting department.
· Update control spreadsheets and the company's management system (ERP).
· Provide support in addressing supplier and customer inquiries regarding payments/invoicing.
***Technical Skills***
· **Software Proficiency:** Intermediate to advanced Excel fluency and ERP system knowledge.
· **Financial Mathematics:** Ability to calculate interest, rates, and cash flow projections.
· **Tax/Fiscal Knowledge:** Basic understanding of taxes, withholdings, and tax form issuance.
***Behavioral Profile***
* **Organization and Attention to Detail:** Handling numbers and deadlines requires extreme accuracy to prevent posting errors.
* **Ethics and Confidentiality:** Integrity is essential due to handling sensitive data and salaries.
* **Strong Communication Skills:** Necessary for negotiating with suppliers, collecting from delinquent customers, and interacting with other departments.
* **Proactivity:** Ability to anticipate liquidity issues and propose improvements to daily processes.
***Requirements and Qualifications***
· Bachelor’s degree (in progress or completed) in Business Administration, Accounting, Economics, or related fields.
· Prior experience in this role or in administrative/financial routines.
· **Intermediate Excel** (VLOOKUP, pivot tables, basic formulas).
· Strong communication skills, proactivity, and ability to work effectively in a team.
**What We Offer:**
Salary: To be negotiated
Attractive benefits.
Employment type: Full-time, permanent CLT contract
Work location: On-site