




Job Summary: Professional to monitor and analyze cash flow, financial forecasts, participate in the annual budget process, and ensure tax and regulatory compliance. Key Highlights: 1. Strategic involvement in financial analysis and forecasting 2. Participation in the development and review of the annual budget 3. Management of relationships with financial institutions and suppliers **Description and Responsibilities:** **Working Hours:** Monday to Thursday \- 7:30 AM to 5:30 PM; Friday \- 8:00 AM to 5:00 PM **Level:** Supervision/Coordination **Employment Type:** Service provider \- legal entity Monitor and analyze cash flow, revenue and expense projections; Participate in the development, monitoring, and review of the company's annual budget, collaborating with other departments to ensure adherence to budgetary guidelines; Ensure compliance with tax laws, accounting regulations, and internal company policies; Report financial position to senior management; Provide financial analyses to support investment, cost, pricing, and expansion decisions; Manage relationships with financial institutions and strategic suppliers; Negotiate credit and payment terms and conditions; Maintain updated Quality procedures; Maintain an adequately staffed team capable of delivering services in accordance with the required quantity and scope of activities. **Requirements:** Bachelor's degree in Accounting, Business Administration, Economics, Engineering, or related fields; Solid experience in the finance area; Advanced Microsoft Office proficiency; **Benefits:** No benefit specified


