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Core Competencies
Role fitCore Competencies
Use this summary to align your resume positioning with the role.
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
Tailor your resumeApplicant Tracking System Keywords
Tip: use these terms in your resume and cover letter to boost ATS matches.
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 & technologiesETLPythonSQL
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
