




Job Summary: A professional responsible for controlling and analyzing financial transactions, bank reconciliations, cash flow, and preparing management reports. Key Highlights: 1. Control and analysis of financial transactions and cash flow. 2. Preparation of management reports for decision-making. 3. Administrative and financial support to internal departments. #### **Main Responsibilities:** * Control and analyze financial transactions, including accounts payable and receivable. * Perform bank reconciliations and monitor cash flow. * Prepare management and financial reports to support decision-making. * Provide administrative and financial support to internal departments. * Ensure compliance with internal policies and accounting standards. * Participate in the implementation and improvement of processes. #### **Mandatory Requirements:** * Bachelor’s degree in Administration, Economics, Accounting, or related fields. * Proven experience in administrative and financial routines. * Intermediate knowledge of Excel and ERP systems. #### **Desirable Requirements (Differentiators):** * Knowledge of accounts payable and receivable processes. * Experience with BI tools and data analysis. #### **Benefits:** * Meal Allowance * Medical Assistance * Dental Plan * Health and Wellness Programs * Educational Partnerships * Life Insurance * Complimentary Services from Grupo Luck #### **Work Schedule and Hours:** * 44 hours per week * Hours: Monday to Friday: 8:00 AM–12:00 PM / 2:00–6:00 PM \| Saturday: 8:00 AM–12:00 PM


