Responsible for managing company's administrative & financial operations, ensuring efficiency in internal processes, regulatory compliance, & strategic support through financial analysis.
Duties include overseeing budgets, cash flow, & financial reports; managing accounts payable, receivable, & cost-reduction strategies; ensuring compliance with tax, labor, & administrative requirements; optimizing internal processes & coordinating human resources; & conducting financial analysis & strategic projections.
Bachelor's degree in Banking & Tax Techniques & 12 years of experience required. Travel required to Europe & North, Central, & South America.
Send resume: [email protected]
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