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A leading financial services company in São Paulo seeks a professional to coordinate Treasury, Accounts Payable, Accounts Receivable, and Credit functions. This strategic role requires strong analytical, leadership, and organizational skills, with a structured career path to Finance Manager in up to 18 months. Candidates should have a Bachelor’s degree and experience with financial ERP systems, with English proficiency as a plus. The position offers direct exposure to business financial decisions and a strong development environment.
We are seeking a highly analytical, organized, and hands‑on professional with strong leadership skills to coordinate the areas of Treasury, Accounts Payable, Accounts Receivable, and Credit. This is a strategic position with a structured career path toward a Finance Manager role within up to 18 months, based on performance.
Ensure banking security, proper segregation of duties, and approval levels.
Support financial automation initiatives and accounting integration.
Develop management reports by property / project.
Train commercial and operational teams on credit rules and processes.
Act strategically alongside Controllership and Executive Management.
English proficiency is a plus (reading and speaking).
Proven experience implementing financial automation.
Direct exposure to business financial decision-making.