




Job Summary: Coordinate financial routines, manage cash flow, prepare managerial reports, and monitor indicators to ensure financial balance and improvement. Key Highlights: 1. Coordinate financial routines and manage cash flow 2. Prepare and monitor managerial financial reports 3. Monitor financial indicators and propose improvement actions * Coordinate financial routines, including accounts payable, accounts receivable, treasury, and bank reconciliation; * Manage cash flow, ensuring predictability and financial balance; * Prepare and monitor managerial financial reports; * Support financial planning, budgeting, and forecasting; * Monitor financial indicators (KPIs) and propose improvement actions; * Ensure compliance with financial obligations and deadlines; * Manage credit and collections; * Liaise with banks, suppliers, and customers; * Support internal and external audits; * Implement process improvements in finance and internal controls; * Coordinate and develop the finance team; * Collaborate with departments such as controllership, accounting, and operations. Minimum Education: Bachelor's Degree


