Daily updating of the bank line spreadsheet, management of guarantees, vouchers, leasing.
Give monthly monitoring of real estate balances.
Prepare and update report with balance sheet ratios of competing companies, according to activity category.
Support in external audit process.
Supervise and manage accounting adjustments, among other tasks inherent to the position.
Graduates of the Public Accountant career, with previous experience in taxes,
review of balances, certificate of credits and audits.
A good level of English is valued.
Exclusive management of Excel.
About Corporate Bank Operational Rigour Corporate Bank (CB) Operational Rigour is an end-to-end global risk and governance function accountable for:...
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