Description
Job Summary:
Professional responsible for financial, accounting, and payroll department routines, with a focus on planning, analysis, and process organization.
Key Highlights:
1. Experience with financial and payroll department routines.
2. Knowledge of financial planning, income statements (DRE), and cash flow.
3. Strategic information support and financial analysis for management.
**Description and Responsibilities:**
**Schedule:** Monday to Friday \- On-site: 8:00 AM to 6:00 PM; alternate Saturdays: 8:00 AM to 12:00 PM.
**Level:** Professional
**Employment Type:** Permanent — CLT **LOCATION:** Glória, Vila Velha\-ES
**MAIN RESPONSIBILITIES:**
* Accounts payable and accounts receivable management;
* Bank reconciliation and cash flow control;
* Purchase requisitions;
* Support for financial planning, forecasting, and budget monitoring;
* Preparation and analysis of income statements (DRE), financial indicators, and management reports;
* Issuance, verification, and control of invoices;
* Coordination with accounting for monthly closing;
* Payroll verification, statutory charges, benefits, and deductions;
* Organization and standardization of administrative and financial processes;
* Strategic information support and financial analysis for management.
**Requirements:**
* Completed or ongoing undergraduate degree in Business Administration, Accounting, Finance, or related fields;
* Experience with financial and payroll department routines;
* Knowledge of financial planning, income statements (DRE), cash flow, and financial indicators;
* Experience with payroll processing, statutory charges, and benefits;
* Intermediate or advanced Excel skills and proficiency with systems.
**Benefits:**
Dental care, Internal benefits, Life insurance, Meal allowance, Transportation allowance