




Job Summary: Responsible for executing financial routines, restructuring processes, managing cash flow, preparing reports, and supporting leadership in process standardization. Key Highlights: 1. Restructuring of the finance department and operational processes 2. Advanced Excel proficiency and spreadsheet structuring 3. Proactive, detail-oriented profile with an owner's mindset **Responsibilities:** * Execute and monitor all accounts payable and receivable routines, including scheduling, verification, and payment control; * Restructure the finance department and operational processes, and implement the controller function. * Perform bank reconciliations and manage daily and weekly cash flow; * Prepare managerial and operational reports, with critical insight to support decision-making; * Support leadership in structuring and standardizing financial and administrative processes; * Organize and maintain up-to-date document control for accountability and governance; * Support administrative routines within the finance department. **Requirements:** * Completed undergraduate degree in Business Administration, Accounting, Economics, or related fields; * Solid experience in treasury, accounts payable and receivable, and reconciliation routines; * Advanced Excel proficiency and strong ability to structure spreadsheets and controls; * Proactive, detail-oriented, disciplined, and reliable profile with an owner's mindset; * Ability to work effectively under tight deadlines and handle multiple tasks; **Compensation and Contract Model** Fixed salary PJ contract On-site


