




Job Summary: Responsible for financial and accounting analyses, report preparation, cash flow monitoring, and strategic collaboration. Key Highlights: 1. Financial analysis for decision-making 2. Preparation of reports and budgeting 3. Optimization of financial processes **Job Description and Responsibilities:** **Working Hours:** Monday to Friday, from 07:45 AM to 6:00 PM, with a 1-hour and 30-minute lunch break **Level:** Supervision/Coordination **Employment Type:** Permanent – CLT * Conduct financial and accounting analyses to support decision-making. * Prepare monthly and annual financial reports, presenting results and forecasts. * Participate in the development of the annual budget and periodic reviews. * Monitor cash flow to ensure the company’s financial health. * Participate in the development of the annual budget and periodic reviews. * Identify opportunities for cost reduction and revenue enhancement. * Collaborate with other departments to optimize financial processes. * Conduct economic feasibility analyses for new projects and investments. * Participate in strategic meetings, contributing financial insights. **Requirements:** * Bachelor’s degree in Business Administration, Economics, Accounting, or related fields. * Advanced proficiency in Excel and financial analysis tools. * Experience in preparing financial reports and analyzing performance indicators. * Strong communication and presentation skills. * Knowledge of financial management systems is a plus. **Benefits:** Dental insurance, Gym allowance, Meal voucher


