Manage daily accounting tasks such as invoicing, overseeing trade receivables and payables, recording and posting financial transactions, performing bank reconciliations, handling inventory accounting, and processing entries within the accounting system, all while analyzing the company’s financial data.
Create monthly budgets and forecasts.
Execute the monthly closing process.
Prepare management reports and reports to HQ.
Manage payroll administration.
Ensure compliance with all accounting, reporting, legal, and tax requirements.
Conduct financial year-end closing and reporting, and prepare documentation for annual audits/tax authorities.
Establish the finance/accounting department in the local office in coordination with the CEO and HQ.
Perform other tasks as assigned by the CEO or HQ.
Prepare tax declarations (optional).
Requirements
Bachelor‘s / Master‘s degree in Economics / Finance / Business administration or related field.
At least 5 years of work experience in accounting or finance.
Analytical mindset with ability to interpret complex data.
Ability to work independently in a new office environment.
Energy, drive and can-do attitude are a must-have.
Commercial acumen and the ability to identify, assess, and mitigate potential financial and business risks.
Fluent in Spanish and business level of English language.