Core Responsibilities

You will manage daily treasury operations, including cash flow forecasting and liquidity strategy to ensure operational efficiency. Additionally, you will develop Python-based automation tools to streamline financial reporting, reconciliations, and risk management processes.

Requirements

Candidates must hold a degree in Finance, Accounting, Industrial Engineering, or Economics with experience in corporate treasury or financial control. Proficiency in Python for financial automation and advanced data management skills in Excel or Google Sheets are required.

Additional Information

Experience Level

2-5

Job Language

Spanish

Work Mode

Hybrid