Description
Job Summary:
Financial professional to manage cash flow, perform bank reconciliations, monitor imports, and prepare management reports.
Key Highlights:
1. Strategic involvement in financial control and report preparation
2. Focus on budget analysis and budget tracking
3. Opportunity for professionals with finance experience
**Job Description:**
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\- Manage and update daily, weekly, and monthly cash flow, forecasting inflows and outflows; \- Perform bank reconciliations, ensuring accuracy between bank statements and accounting/financial records; \- Monitor import processes for applicable execution; \- Prepare and analyze periodic management and financial reports (Income Statement, balance sheets, expense reports, etc); \- Analyze budgets and track budget versus actuals.
**Mandatory Requirements:**
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* Bachelor's degree in Business Administration, Accounting, Economics, or related fields;
* Experience in finance, with focus on cash flow, bank reconciliation, and accounts payable/receivable;
* Intermediate proficiency in Microsoft Office, especially Excel;
* Experience with ERP financial systems;
* Basic knowledge of accounting principles and tax legislation applicable to finance routines.
**Employment Type:**
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CLT
**PwD (Persons with Disabilities):**
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NOT APPLICABLE
**Benefits:**
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Co-payment medical plan;
Meal allowance;
Product discounts;
Wellhub plans;
On-site cafeteria.
**Work Location:**
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OFFICE
**Working Hours:**
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7:00 AM TO 5:00 PM