Coordenador Financeiro

JLL

Sao Paulo, Brazil
Treasury operations management
Cash flow forecasting
Bank reconciliations
This position offers the opportunity to act as a Financial Coordinator focused on treasury operations and cash management

Job Summary

  • This position offers the opportunity to act as a Financial Coordinator focused on treasury operations and cash management.
  • You will execute cash transfers, develop comprehensive cash flow forecasting models, and manage foreign exchange operations.
  • This role plays a vital part in maintaining financial stability and supporting business operations through effective cash management strategies.

Matching Summary

This position offers the opportunity to act as a Financial Coordinator focused on treasury operations and cash management.

Skills & Requirements

Must-have

  • Treasury operations management
  • Cash flow forecasting
  • Bank reconciliations

Nice-to-have

  • Financial process automation
  • Experience in multinational companies
  • Knowledge of financial derivatives

Key Requirements

  • Bachelor's degree in related fields
  • Advanced English proficiency
  • Strong experience in treasury operations

Work Rights

Not specified

Tailored Resume

Cover Letter