Responsibilities
- Optimize financial structures (Group and subsidiaries financial structure).
- Ensure financing and cash flow optimization (debts, cash, foreign exchange).
- Limit financial exposure: currencies, interest rates and raw materials.
- Manages and analyzes financial operations including cash management within an entity (may include compliance).
- An entry level Professional applies theoretical broad knowledge typically obtained through advanced education.
- Responsibilities may include:
- Work is closely supervised and will require coaching from the experienced seniors.
- Problems faced are typically not too difficult or complex.
- Able to provide explanations of facts, policies and practices related to job area.
- Able to Travel Once a month.
calificaciones
- Bachelor’s degree in Finance, Business Administration.
- 3 years of experience in same position in manufacturing industry.
- Fluency in English and Spanish required (read, write and speak).
- Strong communication, presentation and interpersonal skills.
- Experience on Financial Analysis, cost analysis
- Knowledge of account information review.
- Capability for abstracting and summarizing information
- Technical expertise in SAP, MAPICS, ACCES, FAS
- Internal use data base (Productivity, CAPEX)
- Analytical and Organized
- Sense of urgency. Proactive
- Problem Solver.
Additional details
- calendario: Tiempo completo
- Numero requerido: 009FWZ
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