Description
Job Summary:
Financial analyst to analyze and monitor economic and financial activities, working in treasury, cash flow, accounts payable and receivable, and financial planning.
Key Highlights:
1. Treasury operations and cash flow management
2. Financial analysis and planning for performance improvement
3. Responsible for issuing and controlling invoices
Analyze and monitor economic and financial activities, including treasury actions, forecasting and cash flow, accounts payable and accounts receivable. Contribute to the company's economic performance through research, analysis, and operationalization of financial information and results, providing improvement suggestions and financial planning. Responsible for issuing, controlling, clearing, and recording invoices in the system (SAGA).
Employment Type: Full-time CLT
Benefits:
* Medical insurance
* Dental insurance
* Fuel allowance
* Food basket
* Free parking
* Life insurance
Work Location: On-site