




Description: * Bachelor's degree in Administration, Accounting Sciences, Economics or related fields; * Previous experience in the financial area, preferably in controller functions, treasury, accounts payable/receivable or financial performance analysis; * Intermediate to advanced proficiency in Excel (Pivot Tables, lookup functions, dashboards) and desirable experience with ERP systems; * Knowledge of cash flow, reconciliations, cost centers and financial performance reports; * Strong analytical skills, organizational ability and attention to detail; * Proactive profile, committed and with good interpersonal communication; * Perform control and reconciliation of bank accounts and financial transactions; * Support in financial results forecasting and analysis, budgets and key performance indicators (KPIs); * Assist in preparing accounting statements, monthly closing and audit support; * Support automation of financial routines and improvement of internal processes. 2511080202181779738


