Analista Financeiro Sênior

Added
8 hours ago
Type
Full time
Salary
Salary not provided

Related skills

reconciliations fintech erp treasury cash flow

📋 Description

  • Manage treasury routines, including daily cash control, cash-flow projections, liquidity
  • Own the end-to-end Accounts Payable process, from document verification through the monitoring and
  • Perform rigorous bank and financial reconciliations, ensuring the accuracy, integrity, and
  • Lead monthly financial closing activities, including balance analysis, validations, and direct
  • Work closely with external accounting partners to ensure transactions are correctly recorded and
  • Prepare management reports covering cash flow, financial position, and key indicators, translating

🎯 Requirements

  • Bachelor's degree in Business Administration, Accounting, Economics, Engineering, or a related
  • Solid professional experience in Treasury and Controlling.
  • Proven experience with cash-flow management, Accounts Payable, financial reconciliations, financial
  • Advanced Excel skills and professional English proficiency.
  • Strong analytical and organizational abilities with a structured, solution-oriented approach.
  • Ability to work autonomously in a dynamic environment with multiple priorities and changing demands.

🎁 Benefits

  • Fully remote work.
  • Meal and food allowance through CAJU.
  • Gympass/TotalPass access.
  • Health and dental insurance.
  • Opportunities for professional growth and career development.
  • Access to the Alura learning platform.
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