




Job Summary: A professional responsible for financial control, bank reconciliation, document organization, and cash flow support, requiring strong organizational skills and attention to detail. Key Highlights: 1. Accounts payable and receivable management and organization 2. Monitoring of due dates and bank reconciliation 3. Support in cash flow control and financial reporting **Main Responsibilities:** * Management and organization of **accounts payable and receivable** * Monitoring of **due dates**, preventing delays and improper collections * Bank reconciliation (PIX, bank slips, transfers, and statements) * Organization of financial documents and digital files * Support in **cash flow** control * Assistance in preparing simple financial reports **Desired Qualifications:** * Organizational skills and attention to detail * Basic knowledge of financial routines * Proficiency with systems, Excel spreadsheets, and e\-mail * Good communication skills and responsibility regarding deadlines * Prior experience in the finance area is a plus **Behavioral Profile:** * Proactivity * Commitment * Discretion regarding financial information * Ability to work under deadlines and routine Employment Type: Full-time Compensation: R$2\.675,00 per month Benefits: * Dental insurance * Life insurance * Meal allowance * Transportation allowance


