




**RESPONSIBILITIES:** Conduct daily cash flow audits; Monitor sales, margin, and expense indicators; Update and verify financial spreadsheets in Excel; Support the team in reviewing reports and internal controls; Identify discrepancies and assist in organizing financial data. **REQUIREMENTS:** Currently enrolled in Administration, Accounting, Economics, or related fields; Strong attention to detail and organizational skills; Intermediate Excel proficiency; Interest in controls, auditing, and financial analysis. **WORK SCHEDULE:** Monday to Friday, 6 hours per day (schedule to be arranged). **BENEFITS:** Transportation allowance Register your resume at buscarvagas.com.br and stay updated on the best opportunities.


