Join our team as a Finance and Treasury Specialist! We are looking for a professional with solid experience in financial accounting, financial statement consolidation, International Financial Reporting Standards (IFRS), auditing, treasury, and banking operations, with the ability to participate in strategic projects within a integral organization.
Key Responsibilities:
Prepare and ensure the timely issuance of Consolidated Financial Statements and interim financial reports. Ensure compliance with IFRS, internal accounting policies, and tax and regulatory requirements. Coordinate external audits, follow up on action plans, and ensure compliance with established deadlines. Implement changes resulting from new accounting standards, coordinating their application across processes, policies, and systems. Provide technical accounting support and guidance to the different companies within the Group. Participate in company integration and acquisition projects, ensuring their proper incorporation into the consolidated financial statements. Manage and control banking operations and intercompany treasury activities. Monitor and review expenses, expense reports, and reimbursements. Prepare financial reports and analyses to support business decision-making. Identify opportunities for improvement and strengthen financial and treasury controls.
Required Profile:
Bachelor’s degree in Accounting or Public Accounting, with professional certification/title. Solid experience in: General accounting. Financial statement consolidation. Financial auditing. Treasury and banking operations. Up-to-date knowledge of tax matters and tax reforms. Advanced knowledge of IFRS. Experience coordinating and supporting external audits. Strong financial analysis and reporting skills. Experience with SAP. Advanced English is mandatory.
Competencies:
Analytical thinking. Planning and organization. Attention to detail. Effective communication. Teamwork and collaboration. Results-oriented approach. Ability to work in dynamic and multicultural environments.
Work Location: Polanco, Mexico City. Willingness and availability to travel.
What We Offer: Competitive salary. Above-the-law benefits. Annual bonus. Professional development opportunities. Participation in strategic projects with global impact. Career development within an international organization.
If you are looking for a professional challenge where you can contribute your experience in accounting, treasury, finance, and financial consolidation, we want to hear from you. Only candidates who meet the required profile will be considered.
📌 Especialista de finanzas y tesorería. (Nezahualcóyotl)
🏢 Empresa Confidencial
📍 Nezahualcóyotl
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