




Job Summary: The professional will be responsible for account management, bank reconciliation, preparation of financial reports, and assistance in budget preparation, ensuring smooth financial operations. Key Highlights: 1. Management of accounts payable and receivable and bank reconciliation. 2. Preparation of financial reports and assistance in budgeting. 3. Responsible for daily financial tasks and cash flow monitoring. **Description and Responsibilities:** **Schedule:** Monday to Friday, from 07:00 AM to 11:20 AM and from 13:00 PM to 18:00 PM \| Saturdays, from 07:00 AM to 11:30 AM. **Level:** Not specified **Employment Type:** Permanent – CLT * Among their responsibilities are management of accounts payable and receivable, bank reconciliation, preparation of financial reports, and assistance in budget preparation; * Proficiency in financial software tools and spreadsheet applications such as Excel is also required to perform these tasks; * Issuance of invoices, data entry into systems, and document organization; * Responsible for day-to-day tasks that ensure the company’s financial operations run smoothly, including assisting with cash flow monitoring and payment processing. **Requirements:** * Driver's license AB; * Completed high school education; * Prior experience in the finance sector; * Technical skills including organization, attention to detail, knowledge of Excel and financial mathematics, as well as ethics and discretion; * Behavioral qualities such as proactivity, good interpersonal relationships, communication skills, and ability to work in a team are also essential; * **Additional Information:** Starting salary R$ 2\.500,00. **Work Location:** Jardim Florença Neighborhood \- Sinop/MT **Benefits:** No benefits provided


