Description
A growing company is seeking a Treasury Analyst with experience in cash flow management, bank reconciliations, financial control, and Enkontrol system operation.
**Responsibilities**
* Preparation and monitoring of cash flow.
* Payment scheduling and follow-up.
* Bank reconciliations and account cleanup.
* Monitoring and recording of banking transactions.
* Management of accounts payable and receivable.
* Preparation of financial and treasury reports.
* Operation and updating of information in Enkontrol.
* Tracking of balances, transfers, and banking operations.
* Support in accounting and financial closings.
**Requirements**
* Bachelor’s degree in Accounting, Finance, Administration, or related field.
* Minimum 2 years of experience in treasury.
* Proficiency in Enkontrol is mandatory.
* Familiarity with electronic banking and intermediate/advanced Excel skills.
* Analytical ability and organizational skills.
* Attention to detail and sense of urgency.
**We Offer**
* **Base monthly net salary ($20,000\).**
* **Statutory benefits from day one**.
* **12 vacation days**.
* **15 days of year-end bonus (aguinaldo)**.
* **25% vacation premium**.
**Work Location**
* Santa Fe
**Apply by sending your updated CV to Postúlate enviando tu CV o mándanos mensaje por WhatsApp al cincuentayseis.3\.5,doce,6\.6\.sesentaydos and join a professional team that values your talent and commitment.**
Employment type: Full-time
Salary: $20,000\.00 per month
Workplace: On-site employment