Senior Financial Analyst

🕒 August 8

🇧🇷 Brazil – Remote

⏰ Full Time

🟠 Senior

💸 Financial Planning and Analysis (FP&A)

👻 Ghost score 35%

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🗣️🇧🇷🇵🇹 Portuguese Required

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Logo of alt.bank

alt.bank

51 - 200 employees

Founded 2018

💳 Fintech

🏦 Banking

🤝 B2B

💰 Series A on 2021-05

Fintech • Banking • B2B

alt. bank is a Brazilian white‑label credit platform that enables companies to launch and operate credit card products (prepaid and postpaid) without being a financial institution. It provides BIN sponsorship, card issuance (physical and virtual), escrow and settlement accounts, integrated KYC/AML, transaction antifraud, dispute and chargeback management, and local payment rails (Pix, boleto). Its proprietary credit engine (GUARD) uses machine learning and alternative data to originate and manage risk, driving high activation and low delinquency; the platform is sold to businesses as a turnkey solution and has been validated with over 100k customers.

📋 Description

• Manage treasury operations, ensuring daily cash control, cash flow forecasting, liquidity management, and banking transactions • Manage the end-to-end Accounts Payable process, from document verification through the monitoring of domestic and international payments • Perform bank and financial reconciliations, ensuring the integrity and consistency of records • Lead the monthly financial close, including analyses, balance validations, and support for Controllership • Work with the external Accounting provider to ensure the accurate recording of transactions and the quality of financial statements • Prepare management reports on cash flow, financial position, and key performance indicators • Support external audits by preparing documentation, supporting evidence, and technical clarifications • Lead initiatives to automate and standardize financial processes, identifying gaps and strengthening internal controls

🎯 Requirements

• Bachelor’s degree in Business Administration, Accounting, Economics, Engineering, or a related field • Solid experience in Treasury and Controllership • Experience with cash flow, Accounts Payable, reconciliations, financial close, and financial statements • English proficiency • Advanced Excel skills • Analytical, organized, and solution-oriented mindset • Ability to work in a dynamic environment with multiple priorities • Preferred: Experience in fintechs, financial institutions, or technology companies • Preferred: Knowledge of financial ERP systems and automation tools

🏖️ Benefits

• Inclusive environment open to suggestions • Meal and food allowance (CAJU) • Gympass/TotalPass • Health and dental insurance • Growth opportunities • Access to the Alura course platform • Sesc benefits

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