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We are looking for a motivated Junior Accounting and Treasury Specialist to join our Finance team. This role is a great opportunity for someone early in their career who wants to grow their expertise in accounting treasury operations and financial reporting.
Place of work:
Responsibilities
Perform day-to-day accounting tasks (purchases sales bank and cash entries).
Assist in preparing monthly closings and financial statements.
Support with treasury management including recording and monitoring expenses.
Conduct bank reconciliations and ensure accuracy in cash flow control (inflows and outflows).
Contribute to the preparation of financial reports for management.
Use advanced Excel tools (pivot tables financial formulas) to support financial analysis.
Qualifications :
12 years of professional experience in a similar role.
Basic knowledge of general accounting and SNC (Accounting Standardization System).
Understanding of cash flow management and financial planning.
Strong organizational skills detail-oriented and methodical.
Ability to work accurately and meet deadlines.
Fluent in English and Portuguese (written and spoken).
Proactive dynamic and eager to learn.
Good communication skills and a team-player mindset.
Adaptable and resilient to new tools and processes.
Additional Information :
If you meet the above criteria and are ready for an exciting opportunity in a dynamic environment submit your CV!
Remote Work :
Yes
Employment Type :
Contract
Remote