




**Requirements:** * Bachelor's degree in Public Accounting, Finance, Financial Management or related field (degree and professional license) * 30 to 45 years of age * Minimum of 4 years in financial areas, with specialization in budget preparation and analysis; treasury management, cash flow, and payment processing. * Preferably have worked in companies within the education sector. **Knowledge:** * Budget preparation, forecasting, and financial modeling * Treasury control and bank reconciliations * Basic tax and financial regulations * Advanced Excel and accounting/ERP software proficiency * Financial performance indicators (liquidity, efficiency, and profitability) **Skills:** * Analytical and critical thinking * Results-oriented * Planning and organizational skills * Effective communication for presenting financial reports to executives * Integrity, confidentiality, and professional ethics * Teamwork and interdepartmental collaboration **Responsibilities:** * Collaborate with the Financial Director in preparing the annual budget and supervise its execution by monitoring the institution's income and expenses. * Perform comparative analyses between budgeted and actual figures, identifying variances and proposing corrective actions. * Develop financial projections to support strategic decision-making. * Support treasury management, including cash flows, payment scheduling, and liquidity control. * Analyze the use of financial resources across all departments. * Participate in implementing improvements in financial processes (controls, policies, indicators). * Ensure compliance with applicable tax and financial regulations in the educational sector. **We Offer:** * Monthly salary * Statutory benefits * Development plan Job type: Full-time Salary: $15,000.00 per month Work location: On-site


