




Job Summary: Financial Coordinator to manage treasury operations, cash flow, and coordinate accounts payable and receivable, with a focus on organization, leadership, and results. Key Highlights: 1. Strong organizational, leadership, and financial routine management skills. 2. Proven experience in financial management and team leadership. 3. Proficiency in cash flow management, treasury operations, and advanced Excel. Financial Coordinator \- Coordinate accounts payable and receivable. • Manage treasury and financial transactions. • Prepare and monitor cash flow. • Ensure timeliness and quality of operations. * Organize processes and drive improvements. • Interface with controllership, accounting, and operational departments. Strong organizational, leadership, and financial routine management skills, ensuring efficiency and control over cash flow. • Proven experience in financial management. * Experience leading finance teams (AP/AR). • Proficiency in cash flow management and treasury routines. • Advanced Excel. • Organized, execution-oriented, and results-driven profile. * Preferred experience in the construction/real estate development sector. • ERP system knowledge (Uau will be considered a plus).


