




Job Summary: Financial professional to manage accounts payable, accounts receivable, bank reconciliation, and managerial reports. Key Highlights: 1. Experience in accounts payable and receivable 2. Knowledge of Power BI and cash flow management 3. Responsible for financial and tax closings **Requirements:** * Bachelor’s degree in Business Administration, Financial Management, or Accounting; * Experience in the finance sector, accounts payable, and accounts receivable; * Intermediate Excel skills; * Knowledge of Power BI; * Familiarity with financial routines, cash flow management, and income statements (DRE). **Responsibilities:** * Perform financial and tax closings in coordination with the accounting firm; * Conduct bank reconciliations with balanced balances (Bank vs. ERP); * Manage permits, licenses, insurance policies, and certificates (renewals and documentation per CNPJ); * Submit periodic managerial reports to department management. * And other duties related to the Finance Department. Employment Type: Full-time, Permanent CLT Work Location: On-site


