Description
Job Summary:
This Financial Analyst will be responsible for controlling and monitoring cash flow, preparing financial reports, and tracking accounts payable and receivable.
Key Highlights:
1. Opportunity to manage cash flow and financial reporting.
2. Involves cost, expense, and revenue analysis for optimization.
3. Support in financial planning and preparation of projections.
**Financial Analyst \- GARÇA/SP.**
Main Responsibilities:
* Manage and monitor the company's cash flow.
* Prepare financial reports, performance analyses, and management statements.
* Monitor accounts payable and accounts receivable, ensuring timely and accurate payments and collections.
* Perform bank reconciliations and control financial transactions.
* Support corporate budget preparation and financial KPI tracking.
* Analyze costs, expenses, and revenues, proposing improvements to optimize results.
* Support financial planning and preparation of projections and feasibility analyses.
* Maintain relationships with financial institutions when required.
* Ensure organization and updating of financial documents and records.
* Support internal and external audits by providing necessary information and reports.
Requirements:
* Bachelor's degree completed or in progress in Business Administration, Accounting, Economics, or related fields.
* Prior experience in finance.
* Knowledge of finance routines (accounts payable, accounts receivable, cash flow, and bank reconciliation).
* Proficiency in Excel and financial management systems (ERP).
* Analytical ability, organizational skills, and attention to detail.
* Advanced Excel knowledge