Description
Cash flow management and budget planning; Preparation and analysis of financial reports and performance indicators; Development of financial strategies to optimize resources and results; Ensuring compliance with tax, fiscal, and accounting regulations; Integrated collaboration with other departments to promote financial efficiency and management support.
**Requirements:**
Solid experience in financial management, cash control, and budgeting; Analytical ability to interpret indicators and provide strategic support; Knowledge of tax legislation, fiscal regulations, and accounting practices; Strong communication skills for presenting analyses and recommendations; Bachelor's degree in Business Administration, Economics, Accounting, or related fields; Postgraduate studies or an MBA in Finance is a plus; Proficiency in financial management systems and advanced Excel.
**Work model:** On-site
**Contract type:** Full-time
**Location:** Campo Grande \- Rio de Janeiro
**Benefits:** Meal allowance \| Food voucher \| Gympass \| Telemedicine and telepsychology \| Dental plan \| Professional growth opportunities.