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Back Office Financial Coordinator

ACCA Careers

Porto Alegre

Híbrido

BRL 60.000 - 90.000

Tempo integral

Ontem
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Resumo da oferta

Uma empresa multinacional está em busca de um Coordenador Financeiro para supervisionar atividades de tesouraria e contas a pagar. O profissional será responsável por otimizar recursos financeiros, gerenciar fluxo de caixa e garantir conformidade com regulamentações. Oferecemos um ambiente colaborativo, horários flexíveis e oportunidades de desenvolvimento profissional.

Serviços

Dois dias de voluntariado por ano
Programas de saúde e bem-estar
Horários flexíveis e opções de trabalho remoto
Desenvolvimento de carreira através de aprendizado online

Qualificações

  • Formação em Economia, Contabilidade, Finanças, Engenharia ou Matemática.
  • Experiência em gestão de tesouraria focada em liquidez e otimização de recursos.
  • Familiaridade com regulamentações bancárias.

Responsabilidades

  • Liderar e supervisionar atividades de tesouraria e contas a pagar.
  • Gerenciar fluxo de caixa e preparar relatórios de liquidez.
  • Garantir conformidade com regulamentos e políticas internas.

Conhecimentos

Análise financeira
Gestão de riscos
Gestão de tesouraria
Conhecimento de ALM

Formação académica

Grau em Economia, Contabilidade, Finanças, Engenharia ou Matemática

Descrição da oferta de emprego

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Our organisation

At DLL, we are many things. We are team members, family members, and community members. We are members of society, members of different cultures and nationalities, and members of change. Despite our differences, we share one thing in common: each of us is a member of DLL. Founded in the Netherlands, DLL is now a truly multinational company with a culture rooted in collaboration, less hierarchy, and honest candor. We are an intercultural collaboration that comes together daily with one goal:

Partnership for a better world!
Your function

As a Finance Coordinator, you will lead and supervise treasury and accounts payable activities, ensuring cash management and liquidity. Your responsibilities include devising strategies for financial resource optimization, managing assets and liabilities, supporting investor relations, promoting team development, and ensuring compliance with regulations.

  • Monitor and manage cash flow, preparing liquidity reports;
  • Manage asset liability management, analyzing interest rates, maturities, and liquidity;
  • Oversee accounts payable, ensuring timely and accurate payments within budget;
  • Collaborate with other bank areas to meet treasury needs;
  • Manage the treasury team, fostering professional development;
  • Ensure regulatory and internal policy compliance, conducting audits;
  • Develop relationships with banks and financial institutions.
Your profile
  • Degree in Economics, Accounting, Finance, Engineering, or Mathematics;
  • Knowledge of Asset and Liability Management (ALM);
  • Financial analysis skills, including interpreting projections and cash flows;
  • Treasury management experience focusing on cash, liquidity, and resource optimization;
  • Familiarity with banking regulations;
  • Risk management skills related to shares and liabilities.
We offer
  • Two volunteer days per year for local charities;
  • Health and wellness programs, including healthy food and health checks;
  • Flexible working hours and remote work options;
  • Career development through online learning and programs.
Additional information

DLL promotes wellbeing across four categories: Connection, Health, Finance, and Lifestyle, emphasizing creating meaningful connections, managing health, achieving financial health, and maintaining work-life balance.

Interested? Applications via email are not accepted; please apply online through our career site. We value inclusive and accessible recruitment processes. For accommodations, contact our HR department.

Details
  • Seniority level: Entry level
  • Employment type: Full-time
  • Job function: Finance and Sales
  • Industries: Accounting

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