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CCM GROUP

Financial Analyst – Reconciliation & Data

CCM GROUP

Analista financeiro na CCM Eventos, conectando conciliação operacional e inteligência de dados. Construindo dashboards, KPIs e automações para decisões de custo e performance.

Posted 8/5/2026full-timePorto Alegre • 🇧🇷 BrazilJuniorWebsite

Core Competencies

Role fit
Core Competencies

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Demonstrates expertise in financial analysis, reconciliation, and reporting, utilizing tools like Power BI and SQL to drive strategic decision-making. Proficient in automating financial processes and ensuring data integrity through collaboration with finance and accounting teams.

Highest-signal resume keywords
Financial ReconciliationPower BI Dashboard CreationSQL Data ValidationProcess Automation with Power QueryAnalytical Financial Reporting

ATS Keywords

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Applicant Tracking System Keywords

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Hard Skills
Financial AnalysisReconciliationData ValidationDashboard CreationKPI DevelopmentExcel FormulasPivot TablesPower QueryETL ProcessesGenerative AI Tools
Soft Skills
CollaborationAnalytical ThinkingAttention to DetailProblem-SolvingCommunication
Tools & Technologies
Power BISQLPower AutomateMakeMicrosoft OfficeGoogle Workspace
Certifications & Qualifications
Power BI CertificationDAX CertificationPower Query Certification
Industry Keywords
Financial RoutinesGeneral LedgerIncome StatementBalance SheetCost CentersBudgeting

Tech Stack

Tools & technologies
ETLPythonSQL

About the role

Key responsibilities & impact
  • Act as the link between operational finance and the data intelligence team
  • Ensure the quality of reconciliations and the closing of events
  • Build metrics and dashboards to support strategic cost and performance decisions
  • Analyze invoices and contracts, cross-referencing clauses with amounts and payment terms
  • Create, monitor, and evaluate analytical financial reports
  • Reconcile the financial close with the accounting close through direct contact with accounting
  • Build dashboards, KPIs, and indicators using Power BI or equivalent tools
  • Validate and cross-check data using SQL
  • Apply generative AI tools in day-to-day activities
  • Automate financial processes with Power Query/ETL, Power Automate, Make, or similar tools
  • Propose process improvements and collaborate with finance, accounting, production, and clients

Requirements

What you’ll need
  • Bachelor's degree completed or in progress in Business Administration, Accounting, or related fields
  • Minimum of 6 months' experience in financial routines and reconciliation
  • Availability to work on-site with a hybrid model
  • Intermediate to advanced proficiency with Microsoft Office or Google Workspace
  • Excel/Sheets skills including formulas, pivot tables, and data validation
  • Strong experience in general financial routines and financial reconciliation
  • Ability to analyze invoices and contracts, cross-referencing clauses with amounts and payment terms
  • Creation, monitoring, and evaluation of analytical financial reports
  • Direct contact with accounting and reconciliation of financial and accounting closes
  • Experience with Power BI or equivalent tools for building dashboards, KPIs, and indicators
  • Working knowledge of SQL for data validation and cross-checking
  • Familiarity with generative AI tools
  • Hands-on experience automating processes with Power Query/ETL, Power Automate, Make, or similar tools
  • Preferred: analysis of General Ledger, Income Statement (DRE), and Balance Sheet; basic Python or programming logic; MBA or postgraduate degree; certifications in Power BI, DAX, Power Query, or data modeling; analytical understanding of budgeting and cost centers

Benefits

Comp & perks
  • Dental care
  • Flexible hours
  • Life insurance
  • Meal allowance
  • Health insurance
  • Profit-sharing (PPR)
  • Gympass
  • Zenklub
  • Birthday gift voucher
  • English course
  • Corporate University