




Job Summary: Responsible for bank reconciliations, payment/receivable management, preparation of financial statements, and audit support, with a focus on financial planning and controls. Key Highlights: 1. Comprehensive management of financial and accounting processes 2. Execution of foreign exchange operations and stakeholder relationship management 3. Strategic support for financial planning **Responsibilities** * Perform bank reconciliations, receivables and payables controls, collections, and delinquency management; * Prepare financial statements, analyses, and managerial reports; * Monitor legal obligations, supplier payments, payroll, taxes, and statutory charges; * Execute payment processes (checks, TED, payment batches), document verification, posting, and archiving; * Maintain relationships with suppliers, customers, and financial institutions; * Support financial planning, forecasting, and controls using spreadsheets and systems; * Conduct foreign exchange operations and monitor exchange rate fluctuations; * Provide audit support. **Requirements** * Bachelor’s degree in Business Administration, Accounting, Mathematics, Economics, or related fields; * Advanced English (mandatory); * Postgraduate degree in finance is desirable. **Benefits** Medical Insurance Dental Insurance ️ Life Insurance ️ On-site Restaurant Meal Allowance Shuttle Service ️ Gym Partnership Pharmacy Partnership PPR (Profit Sharing) Private Pension Plan Birthday Day Off*Contact* ***rh.br@fuchs.com*** *for inquiries.*


