




Position Summary: We are seeking a professional with experience in treasury, expense control, reconciliations, and financial analysis, with attention to tax authorities. Key Highlights: 1. Experience in treasury, accounts payable, accounts receivable, and expense control 2. Cash flow management and bank/accounting reconciliations 3. Financial analysis, tax closing, and tax determination TREASURY, ACCOUNTS PAYABLE, ACCOUNTS RECEIVABLE, EXPENSE CONTROL CASH FLOW BANK AND ACCOUNTING RECONCILIATIONS CFDI PAYROLL BUDGETS ANNUAL INVENTORIES DIOT TAX CLOSING FINANCIAL ANALYSIS REPORTING TO PARTNERS TAX DETERMINATION AND TAX RETURN FILING ATTENTION TO VARIOUS AUTHORITIES SUCH AS IMSS AND SAT Employment Type: Full-time Salary: $18,000.00 - $25,000.00 per month Benefits: * Savings fund * Discounts and preferential pricing * Free uniforms * Food vouchers Education: * Completed bachelor's degree (Preferred) Experience: * Financial accounting: 5 years (Mandatory) Work Location: On-site employment


