




Job Summary: We are seeking a professional to oversee profitability, manage cash flow, control tax and accounting matters, and intervene in collections and payments. Key Highlights: 1. Profitability Monitoring and Cash Flow Management 2. Tax and Accounting Control, with involvement in Collections and Payments 3. Strategic Analysis and Leadership of Financial Management Teams Key Responsibilities Profitability Monitoring: Supervise direct and indirect costs (payroll, rent, administrative expenses) to protect profit margins. Cash Flow Management: Review and forecast short- and medium-term revenues and expenditures on a weekly basis. Tax and Accounting Control: Ensure accurate recording of transactions and supervise legal matters such as contracts and terms with third parties. Collections and Payments Intervention: Handle direct negotiations with suppliers during critical moments and apply pressure when following up on overdue payments. Strategic Analysis: Develop budgets projecting the future impact of financial figures in collaboration with agency directors. IDEAL PROFILE Experience: 5 years of experience in financial control, tax management, and corporate profitability analysis. Technical Knowledge: General accounting, cash flow management, legal frameworks for contracting, and budget analysis. Soft Skills: Communication, negotiation ability, and leadership of financial management teams. Key Competencies: Ethical handling of confidential information and analytical precision in presenting results. 45\-55K Salary: $40,000\.00 \- $60,000\.00 per month Benefits: * Flexible working hours * Option for an indefinite-term contract * Major medical expense insurance * Remote work * Grocery vouchers * Restaurant vouchers Work Location: Hybrid remote work in 06140, Colonia Condesa, CDMX


