Description
Position Summary:
We are seeking an Accounting and Cash Auditor with an analytical profile to ensure the integrity and reconciliation of cash, funds, deposits, and securities movements within a guarantee company.
Key Highlights:
1. Key role in management control and accuracy of accounting processes.
2. Opportunity to propose improvements in internal control procedures.
3. Autonomy and independent judgment in work are highly valued.
At **Respaldar**, a company specializing in sales of rental guarantees, we are looking for an **Accounting and Cash Auditor** with a strong analytical, methodical, and rigorous profile.
If you are passionate about management control and process accuracy, this opportunity is for you!
**Position Objective**
To independently audit, supervise, and validate the integrity of cash, funds, deposits, and envelope/securities handling, ensuring exact reconciliation between actual operations, collections/disbursements system records, and the company’s accounting files.
**Main Responsibilities**
* **Audit and control petty cash and general cash movements versus the collections and disbursements system**, ensuring full reconciliation between system records and accounting files.
* **Perform control, verification, and traceability of payable deposits**, ensuring amounts, settlements, and conditions match precisely.
* **Audit the prize dispatch and delivery process**, as well as commission settlements with real estate agencies.
* **Control the operational flow of securities envelopes:** recording of dispatch, transit tracking, return monitoring, and confirmed receipt at destination.
* **Identify accounting deviations, inconsistencies, or irregularities**, and formally report them to leadership for decision-making.
* **Propose continuous improvements** in internal control procedures and cash counts.
**Requirements**
* **Academic qualification:** University graduate in **Public Accounting**, **Actuarial Science**, or related fields.
* **Required experience:** Proven prior experience specifically dedicated to **cash auditing**, cash counts, value controls, and financial intermediation.
* Analytical mindset, objectivity, strong sense of confidentiality, and attention to detail.
* Advanced proficiency in computer tools and accounting/financial management systems.
**We Especially Value**
* Ability to work autonomously with independent judgment.
* Excellent skills in rigorous and impartial communication when presenting audit reports.
* Initiative to optimize traceability of fund processes and supporting documentation.
**Employment Conditions**
* **Workplace:** Palermo, CABA (On-site).
* **Working hours:** Monday to Friday, 10:00–19:00, and Saturdays, 10:00–13:00.
Workplace: On-site employment