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Zurich Airport Brasil

Financial Analyst I

Zurich Airport Brasil

. Process payments in accordance with the approval workflow for the Florianópolis, Natal, Vitória, and Macaé airports.

Posted 10/2/2026full-timeFlorianópolis • BrazilJuniorWebsite

Core Competencies

Role fit
Core Competencies

Use this summary to align your resume positioning with the role.

Demonstrates strong analytical skills and proficiency in cash flow management, with a focus on process improvement and timely financial reporting. Capable of performing bank reconciliations and general ledger reconciliations while supporting finance and administration functions.

Highest-signal resume keywords
Cash Flow ManagementBank ReconciliationGeneral Ledger ReconciliationProficiency In ExcelAnalytical Skills

ATS Keywords

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Applicant Tracking System Keywords

Tip: use these terms in your resume and cover letter to boost ATS matches.

Hard Skills
Cash Flow ManagementBank ReconciliationGeneral Ledger ReconciliationPerformance Indicator CalculationFinancial Analysis
Soft Skills
Strong Interpersonal SkillsResults-Oriented MindsetProactiveAccountableFlexible
Tools & Technologies
Protheus (TOTVS)Nexxera
Industry Keywords
FinanceBusiness AdministrationEconomicsOperational ProcessesAudit Requests

About the role

Key responsibilities & impact
  • Process payments in accordance with the approval workflow for the Florianópolis, Natal, Vitória, and Macaé airports.
  • Ensure the timely delivery of information to internal client areas, particularly for the monthly accounting close, in accordance with the established schedule.
  • Respond to audit requests by providing the requested information and any necessary clarifications.
  • Provide support for the tasks and routines of other functions within the Finance and Administration department.
  • Drive continuous improvement of operational processes within the area of responsibility.
  • Perform activities related to the area of responsibility.
  • Analyze and monitor the company’s cash flow forecast.
  • Perform bank reconciliations and general ledger reconciliations.
  • Calculate defined performance indicators and evaluate them to identify any necessary adjustments.

Requirements

What you’ll need
  • Bachelor’s degree completed or in progress in Business Administration, Economics, or a related field.
  • At least 1 year of experience in finance, particularly cash flow management.
  • Strong analytical skills and a results-oriented mindset.
  • Systems thinking and planning skills.
  • Proficiency in Excel.
  • Strong interpersonal skills.
  • Broad understanding of business operations and systems.
  • Proactive, accountable, and flexible, with the ability to work independently.
  • Knowledge of Protheus (TOTVS) and Nexxera is a plus.

Benefits

Comp & perks
  • Profit-Sharing and Results Program
  • Medical and Dental Insurance
  • Life Insurance
  • Private Pension Plan
  • Meal or Food Allowance
  • Transportation Allowance or Parking
  • Wellhub
  • 180-day Maternity Leave
  • 20-day Paternity Leave
  • Hybrid Work Model
  • Birthday Day Off