Description
Job Summary:
We are seeking a Treasury Analyst to manage cash flows, payments, and accounts, ensuring financial and operational control of the company.
Key Responsibilities:
1. Manages the company's cash flow and advances
2. Controls revenues, expenses, payroll, and supplier payments
3. Analyzes and coordinates treasury operations effectively
A leading industrial sector company, specializing in weighing systems, is seeking a Treasury Analyst for Bogotá\- Modelia.
Requirements
* Technician/Technologist or professional degree in Accounting or administrative and financial fields.
* Certificate, course, or seminar in systems, Excel, Word
* Minimum 2 years of experience in accounting department roles
* Proficiency in accounting platforms (HELISA preferred) and intermediate Excel skills
* Attention to detail, organizational skills, and excellent time management
* Knowledge of cash flow management, banking operations, supplier payments, and basic tax, accounting, and labor regulations
* Experience managing compensation accounts
Main Responsibilities
* Forecast weekly cash flow considering accounts payable
* Provide management with a detailed weekly list of accounts payable
* Forecast and monitor the company's fixed costs and expense cash flow
* Monitor payroll advances, representation expenses, and operational travel allowances
* Analyze, coordinate, and control revenues, expenses, payroll payments, and supplier payments—both in cash and virtually
What We Offer
* Base salary: $2\.300\.000 \+ fixed bonus: $700\.000
* Fixed-term contract
* Working hours: Monday to Thursday 7:00 AM to 5:00 PM; Friday 7:00 AM to 4:00 PM
* Birthday leave day
Workplace: On-site employment