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Descrição
Detalhes da oferta Descrição: We are looking for an analytical and proactive Financial Specialist to join a client’s finance team in the technology sector.
O que terás de fazer Treasury & Cash Management:
- Weekly Payment Planning: Manage and prepare the weekly payment proposals for suppliers, balancing cash outflows with aging reports.
- Cash Flow Forecasting: Develop, present, and monitor the cash flow budget (weekly/monthly), identifying potential liquidity gaps or surpluses.
- Banking Operations: Monitor bank balances and ensure all financial movements are reconciled and aligned with the treasury plan.
Management Controlling & SG&A:
- Budgeting & Forecasting: Support the annual budget process and quarterly reviews, with a primary focus on SG&A (Selling, General & Administrative) expenses.
- Variance Analysis: Conduct monthly "Actual vs.
Budget" analyses, investigating root causes for discrepancies and proposing corrective actions to department heads.
- Reporting: Prepare clear financial reports that translate complex data into actionable insights for management.
Process Optimization & Compliance:
- Continuous Improvement: Identify "bottlenecks" in daily financial tasks and implement automation solutions (e.g., via Excel, Power BI, or ERP enhancements) to increase efficiency.
- Compliance: Ensure all financial operations comply with accounting standards, internal policies, and tax regulations.
O que precisas de garantir Bachelor’s degree in Management, Economics, Finance or Accounting; 2 to 5 years of experience in Management Control, Audit or Financial Management; Intermediate Excel level (mandatory); Experience with ERP systems (mandatory); Interest in Business Intelligence tools; Power BI or Tableau is a plus; Solid knowledge of accounting standards and tax regulation; Fluency in written and spoken English.
O que te proporcionamos Hybrid work model (mix of remote and office); Young, dynamic, and friendly work environment; Collaborative and supportive .
Responsabilidades
O que terás de fazer Treasury & Cash Management:
- Weekly Payment Planning: Manage and prepare the weekly payment proposals for suppliers, balancing cash outflows with aging reports.
- Cash Flow Forecasting: Develop, present, and monitor the cash flow budget (weekly/monthly), identifying potential liquidity gaps or surpluses.
- Banking Operations: Monitor bank balances and ensure all financial movements are reconciled and aligned with the treasury plan.
Management Controlling & SG&A:
- Budgeting & Forecasting: Support the annual budget process and quarterly reviews, with a primary focus on SG&A (Selling, General & Administrative) expenses.
- Variance Analysis: Conduct monthly "Actual vs.
Budget" analyses, investigating root causes for discrepancies and proposing corrective actions to department heads.
- Reporting: Prepare clear financial reports that translate complex data into actionable insights for management.
Process Optimization & Compliance:
- Continuous Improvement: Identify "bottlenecks" in daily financial tasks and implement automation solutions (e.g., via Excel, Power BI, or ERP enhancements) to increase efficiency.
- Compliance: Ensure all financial operations comply with accounting standards, internal policies, and tax regulations.
Requisitos
O que precisas de garantir Bachelor’s degree in Management, Economics, Finance or Accounting; 2 to 5 years of experience in Management Control, Audit or Financial Management; Intermediate Excel level (mandatory); Experience with ERP systems (mandatory); Interest in Business Intelligence tools; Power BI or Tableau is a plus; Solid knowledge of accounting standards and tax regulation; Fluency in written and spoken English.
Condições O que te proporcionamos Hybrid work model (mix of remote and office); Young, dynamic, and friendly work environment; Collaborative and supportive .
Meteorologia no dia de início
sábado, 11 de abril — Parcialmente nublado · Máx 17° · Mín 12° · Chuva 13% (0mm) · Vento 31 km/h
Previsão para os dias seguintes
-
dom, 12 abrParcialmente nubladoMáx 16° · Mín 12°
-
seg, 13 abrAguaceirosMáx 16° · Mín 12°
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ter, 14 abrParcialmente nubladoMáx 20° · Mín 14°
-
qua, 15 abrParcialmente nubladoMáx 20° · Mín 13°
Detalhes
- Tipo de listagem
- Oferta de emprego
- Tipo horário
- Full-time
- Categoria
- Dados / BI
- Estado
- —
- Modelo trabalho
- Híbrido
- Localização
- Lisboa
- Início
- 28/01/2026
Salário de Mercado
€984 - €1 283/mês