Description
Position Summary:
A reputable company is seeking a Treasury and Accounts Payable professional to manage bank accounts, payments, financial reporting, and tax compliance.
Key Responsibilities:
1. Comprehensive management of bank accounts and payments.
2. Preparation of weekly financial estimation and forecasting reports.
3. Management of payments to suppliers, services, and taxes.
A reputable company is seeking TESORERIA Y CUENTAS POR PAGAR
Experience:
Bank account administration
Executing payments via online banking portal
Issuing checks
Preparing the weekly report on estimated receivables and pending payments
Preparing the weekly report comparing estimated vs. actual received income and executed payments
Preparing the weekly report forecasting receivables and pending payments for the next four weeks
Scheduling weekly supplier invoice payments according to supplier credit terms
Scheduling weekly general service invoices
Scheduling weekly other expenses (payroll, taxes, etc.)
Providing daily bank-received income information to the accounting department
Reviewing complete payment requisition documentation
Reviewing compliance with tax-deductibility requirements for invoices to be paid
Periodic review of payment methods and use of CFDI
Accounting recording of provisions for supplier invoices, service invoices, and other expenses
Payment of federal taxes to SAT, IMSS contributions, SAR, INFONAVIT, FONACOT
Payment confirmation to suppliers; petty cash control and reimbursement requests
Employment Type: Full-time
Salary: $11,000\.00 \- $12,000\.00 per month
Work Location: On-site employment