Financial Analyst - Treasury & Analytics (Remote-friendly)

Bloq.it

Lisboa

Híbrido

EUR 60 000 - 90 000

Tempo integral

há 21 horas
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Vantagens oferecidas por esta oferta de emprego

Health insurance
Remote-friendly policy
Flexible hours
Performance-based bonus
Sports and Wellness membership
Unlimited days off

Resumo da oferta

Bloq.it is seeking a Financial Analyst to join our finance team in Lisbon. You will analyze revenue streams, organize and structure financial data, automate billing flows, and develop real-time dashboards within our ERP.

The role also covers treasury activities and collaboration with logistics, sales, and D&M to optimize financial operations. The ideal candidate has at least 4 years in finance, strong Excel skills (PivotTables), and fluency in English and Portuguese.

Qualificações

  • 4+ years of experience in Finance or Treasury.
  • Experience with treasury and banking functions is beneficial.
  • Strong analytical abilities for scenarios and variance analysis.
  • Advanced Excel skills including PivotTables for data-driven decisions.
  • Good communication to present insights to senior stakeholders.

Responsabilidades

  • Analyze revenue streams (sales, deployments, maintenance) and model scenarios.
  • Organize and structure financial data for reporting and coordinate with stakeholders.
  • Automate and streamline billing flows with other departments and partners.
  • Develop real-time financial dashboards in ERP for decision-making.
  • Own ERP processes and propose efficiency improvements.
  • Assess costs and identify optimization opportunities with Controlling.
  • Contribute to cash flow analysis and strategic financial planning.
  • Support treasury tasks (payments, confirmations, factoring, bank relations).

Conhecimentos

Financial analysis
Treasury experience
Excel PivotTables
Stakeholder communication
English & Portuguese

Ferramentas

Odoo ERP

Descrição da oferta de emprego

Bloq.it is seeking a Financial Analyst to join our finance team in Lisbon. You will analyze revenue streams, organize and structure financial data, automate billing flows, and develop real-time dashboards within our ERP.

The role also covers treasury activities and collaboration with logistics, sales, and D&M to optimize financial operations. The ideal candidate has at least 4 years in finance, strong Excel skills (PivotTables), and fluency in English and Portuguese.

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