Vaga de parceiro

Cash Allocation Analyst - Rio de Janeiro / RJ

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Detalhes da Vaga

  • Escolaridade Não Informado
  • Segmento Não Informado
  • Salário Não Informado
  • Área de AtuaçãoDiversos / Outros

O que você irá fazer

  • Driven by our purpose, to safeguard life, property, and the environment, we empower our customers and their stakeholders with facts and reliable insights so that critical decisions can be made with confidence.
  • As a trusted voice for many of the worlds most successful organizations, we use our knowledge to advance safety and performance, set industry benchmarks, and inspire and invent solutions to tackle global transformations.
  • About the role GSS South America is looking for a Cash Allocation Analyst.
  • The person will support and be responsible for the following activities: Booking regular customer payments/receipts (local ERP System Oracle) Import & Export exchange operations Providing assistance to Collection Team Payment reconciliation activities, accounts receivable, payables and collections Handling of invoices, agreement and international payment/receivable orders Contact with customer, external provider, Brokers, Banks and internal clients Access and maintenance of bank accounts and saving bank statements Sending receipts of payments to internal/external clients Checking invoices in the system (Basware) Assist in administrative routines in general and with filling system Other relevant tasks to be assigned What we offer DNV is an Equal Opportunity Employer and gives consideration for employment to qualified applicants without regard to gender, religion, race, national or ethnic origin, cultural background, social group, disability, sexual orientation, gender identity, marital status, age or political opinion.
  • Diversity is fundamental to our culture and we invite you to be part of this diversity.
  • About you Technical Skills: Bachelor Degree in Accounting, business administration, or related area MBA/Post Graduation is a plus Experience with SAP/Oracle (or equivalent ERP system) Minimum of 3 years' experience in cash allocation routines on a dynamic environment Knowledge of foreign exchange transactions process in Brazil is a plus Analytical and detail oriented, must bring a process improvement mindset Ability to interact effectively with internal customers and the general public Availability to work 40 hours per week, in hybrid work (3 days at the office per week) Ability to handle multiple projects and adhere to tight deadlines Able to work in an environment with volatile demands (accounting routines, recurring meetings and new projects) Self-driven with teamwork spirit and interpersonal skills, take personal responsibility for professional development Demonstrates ownership and accountability also understands the need for and embraces change.
  • Digital Native deep knowledge in Office Package, in special Excel (index matching, VLOOKUP, pivot tables, etc.
  • ) and MS Forms; Data management and analysis (incl.

Informações Adicionais

  • Quantidade de Vagas 1
  • Jornada Não Informado