Description
The role coordinates the financial activities of a corporate group, overseeing accounts payable and receivable, cash flow, financial applications, banking movements, investment alternatives, resource acquisition, financial analysis, management reporting, budgeting, and relationships with financial institutions. It requires a higher education degree in administration, accounting, economics, or a related field, prior financial experience in a leadership position, knowledge of cash flow and financial indicators, and proficiency with Excel and financial management tools. The schedule is Monday through Friday from 08:00 to 18:00.
