ResponsibilitiesLead and develop the team, fostering a collaborative work environment.Support the team in operational activities and in improving internal processes, ensuring compliance, transparency, and adherence to deadlines.Review and analyze financial statements.Perform income tax and social contribution calculations.Prepare and/or review ECD and ECF submissions.Coordinate and provide information for external audits.Coordinate and develop the cost control and analysis process.Manage fixed assets.Oversee contract and insurance management.Conduct inventory counts by comparing physical stock with the system, in accordance with internal policies.Manage cash flow.Maintain relationships with financial institutions and manage investment, loan, and foreign exchange contracts.Coordinate accounts payable, accounts receivable, and bank reconciliation routines.Coordinate monthly and annual closing processes and intercompany reconciliations.Manage foreign exchange closing processes.Control the closing and reconciliation of import and export processes.Manage and review employee travel expense reimbursement requests.QualificationsPlanning and OrganizationCommunication SkillsResponsibilityProactivity
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