




Job Summary: Professional to handle financial routines, including journal entries, bank reconciliations, accounts control, and support in cash flow management. Key Highlights: 1. Experience in financial routines, cash flow management, and bank reconciliation. 2. Ability to work in a team and strong communication skills. 3. Proactivity and problem-solving ability. Responsibilities and Duties \- Perform journal entries and bank reconciliations.\- Manage accounts payable and receivable.\- Issue invoices and receipts.\- Assist in preparing monthly financial reports.\- Organize and archive financial documents.\- Support cash flow management.\- Attend to suppliers and customers to clarify inquiries.\- Collaborate with the team on monthly closing activities. Requirements and Qualifications \- Degree in Business Administration, Accounting, or related fields.\- Prior experience in financial routines.\- Knowledge of cash flow management and bank reconciliation.\- Intermediate Excel proficiency.\- Strong organizational skills and attention to detail.\- Ability to work in a team and strong communication skills.\- Proactivity and problem-solving ability. Compensation: starting from R$3\.000,00 per month Work Location: On-site


