Description
Job Summary:
Professional responsible for controlling and organizing accounts, monitoring due dates, performing bank reconciliation, and supporting cash flow management.
Key Highlights:
1. Control and organization of accounts payable and receivable
2. Monitoring of due dates and bank reconciliation
3. Support in cash flow control and financial reporting
**Main Responsibilities:**
* Control and organization of **accounts payable and receivable**
* Monitoring of **due dates**, avoiding 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
* Strong 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
Job Type: Full-time
Compensation: R$2\.675,00 per month
Benefits:
* Dental assistance
* Life insurance
* Meal allowance
* Transportation allowance