




Job Summary: Professional responsible for financial control and reconciliation, NFe issuance, processing of accounts payable/receivable, and bank reconciliation, requiring organization and ethics. Key Highlights: 1. Responsible for financial control and reconciliation 2. Issuance and tracking of Electronic Fiscal Invoices (NFe) 3. Processing of accounts payable and receivable **Description and Responsibilities:** **Working Hours:** Monday to Friday, from 07:30 AM to 5:30 PM, with a 1.5-hour lunch break **Experience Level:** Professional **Employment Type:** Permanent – CLT * Control and reconcile financial entries. * Issue and track Electronic Fiscal Invoices (**NFe**) to ensure fiscal and accounting compliance. * Process accounts payable and receivable to maintain up-to-date cash flow. * Review bank statements and perform reconciliations to identify and correct discrepancies. **Requirements:** * Experience in financial routines, including accounts payable and receivable, and bank reconciliation. * Organizational skills and attention to detail. * Ability to work effectively in a team. * Discretion and ethics when handling confidential information. **Benefits:** Life Insurance, Meal Voucher


