




Financial Management Position Objective: Tactically manage financial operations related to Treasury, Financial Planning, and Expense Management, ensuring efficient, analytical administration aligned with the organization's strategic objectives. This position reports directly to the CEO. Functions and Activities * Supervise and control the preparation of the company's financial reports, income statements, balance sheets, cash flow, and revenue and expense projections. * Ensure correct tax filing, submission, and payment on time and in proper form. * Manage compliance with tax obligations and ensure accurate preparation of tax returns. * Invoicing. * Make payments to suppliers. * Manage the treasury budget through the system, ensuring optimization of resources. * Oversee the execution of established processes. * Conduct financial risk analysis. * Ensure compliance with labor and tax regulations related to employees. * Tactically manage financial operations related to Treasury, Financial Planning, and Expense Management, ensuring efficient, analytical administration aligned with the organization's strategic objectives. * Monitor daily liquidity and propose investment strategies to optimize the financial portfolio. Skills and Knowledge * Corporate finance. * Treasury and liquidity management. * Strategic and budgetary planning. * Financial analysis and modeling. * Advanced Excel. * Proficiency in systems such as SAP and CONPAQI. Experience * Minimum 3 years in supervisory or managerial positions. Benefits * Work Schedule: Monday to Friday from 08:00 am to 18:00 pm at Av. Tres Marias 455 Fracc. Tres Marias (Centro Capital 3M). * Hybrid work opportunity (Home Office and in-person). * Net Salary: 25,000.00 monthly tax-free + all statutory benefits. Job Type: Full-time Salary: $25,000.00 - $30,000.00 per month Work Location: Hybrid remote at 58254, Orquídeas, Mich.


