Job title: treasury team leaderkey responsibilities:manage and oversee cash flow activities for argentina, chile, brazil, mexico, and colombia.lead monthly payment operations and analyze income and expenses to optimize cash flows.direct the movement of gvr's income and expenses and control bank account activity.coordinate and manage treasury activities, including supplier payments and cash flow reporting.monitor currency conversions and exchange rate impacts on foreign currency transactions.review and analyze financial reports prepared by external firms.collaborate with cross-functional teams to implement accounting solutions and ensure data accuracy.enter financial data into erp systems and manage account reconciliations.provide timely and accurate financial information to support business decisions.ensure compliance with relevant financial regulations and laws.required skills:strong financial management skills, including budgeting and forecasting.experience in managing multiple projects simultaneously.excellent analytical and problem-solving skills.ability to work effectively in a team environment.effective communication and interpersonal skills.what we offer:a dynamic and supportive work environment.opportunities for professional growth and development.a competitive salary and benefits package.