About this role
Analista de Tesouraria e Planejamento de Fluxo de Caixa at MULTIPAGAMENTOS. Location: Rio de Janeiro, Rio de Janeiro, Brazil. Role: prepare cashflow, reconcile accounts, generate reports Requirements: Experience in treasury and cash flow management, strong Excel, knowledge of ERP systems, English intermediate. Category: Finance and Accounting Seniority: Mid Level Tools: Excel, TOTVS, OMIE, SAP, Conta Azul, Power BI, Power Query Commitment: Full Time Workplace: Hybrid Languages: English, Portuguese