Description
Job Summary:
An operational professional responsible for managing receipts, payments, bank reconciliations, and customer support, ensuring financial control and process compliance.
Key Highlights:
1. Daily receipt and payment management
2. Bank statement and financial investment analysis
3. Internal/external customer and supplier support
**Description and Responsibilities:**
**Working Hours:** Monday to Friday
**Level:** Operational
**Employment Type:** Permanent – CLT
Input daily receipts into the Gestor system;
Analyze the daily Bulletin spreadsheet, verifying inflows, outflows, and scheduling payments;
Request financial investment statements from the bank and record them;
Identify returned checks in bank statements and send e\-mails to responsible parties;
Perform monthly cash closing for companies within the AF6 Group;
Provide support to internal/external customers and suppliers;
Control payments to new vehicle manufacturers of AF6 Group companies according to pre\-defined rules and procedures;
Inform immediate supervisors promptly upon identifying inconsistencies in company current accounts;
Collect from internal customers regarding transactions not posted in internal systems;
Monitor and control fees and charges imposed by financial institutions on AF6 Group companies, and when necessary, propose solutions and reductions aligned with pre\-defined targets and policies;
Digitally archive bank statements for current accounts and investments of AF6 Group companies;
Record and reconcile the guaranteed account;
Schedule and execute settlement and refund payments to customers;
Process manufacturer document write\-offs.
Conduct weekly advance payment verifications;
Generate spreadsheets and reports upon request by immediate supervisor.
**Requirements:**
Currently pursuing a bachelor's degree
Relevant work experience
**Benefits:**
Disclosed during the interview