Treasury Analyst - Trilingual

Sutherland

Colombia

Presencial

COP 66.960.000 - 111.600.000

Jornada completa

Hace 5 días
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Descripción de la vacante

Sutherland in Colombia is seeking a Financial Resources professional to manage cash flow classification, daily investment monitoring, and reporting. You will prepare daily cash reports and management reports, analyze investments, and ensure precise data entry across company systems.

The role requires a Bachelor's degree in Business Administration or Accounting, 4 years of experience, and knowledge of basic English.

Formación

  • Bachelor's Degree completed.
  • Field of Study: Business Administration, Accounting.
  • 4 years of experience in Financial Resources.
  • Language: Basic English.

Responsabilidades

  • Prepare daily cash reports and management reports (financial position).
  • Classify revenue and expense cash flows by accounts.
  • Monitor daily financial investments and perform monthly reconciliations.
  • Enter data into Gesplan system and verify daily transactions.
  • Process monthly investment movements and prepare related spreadsheets.

Conocimientos

Financial reporting
Cash flow analysis
Bank reconciliation
Investment monitoring
Data entry accuracy
Basic English
Financial Resources Process

Educación

Bachelor's degree in Business Administration or Accounting

Herramientas

Gesplan system
Proprietary systems

Descripción del empleo

SUMMARY DESCRIPTION:

Perform activities related to the Financial Resources area, such as controlling and classifying revenue and expense cash flows for preparation of daily cash reports, preparing management reports (financial position), and analyzing and monitoring financial investments daily (profitability/investments and redemptions) with maximum accuracy, providing information to support decision-making.

SKILLS AND KNOWLEDGE:
  • Prepare management reports (Financial Position), including classification of various cash flows by revenue and expense accounts, accounts receivable balances, undisdiscounted export exchange contracts, import payables, overdue receivables from domestic and international customers, financial indicators, and financial investments;
  • Control and analyze daily financial investments in bank deposit certificates, perform monthly reconciliation between company and bank balances, and prepare monthly spreadsheets related to investment movements for calculation of monthly financial income;
  • Enter necessary data into the system and verify daily financial transactions against bank positions;
  • Control and prepare monthly spreadsheets related to financial investments;
  • Prepare and issue expense statements for travel expense control;
  • Daily input all bank statements into the Gesplan system for all banks used by the company;
  • Perform daily bank statement transfers through proprietary systems;
  • Properly use systems and resources provided by the company in accordance with established standards and procedures;
  • Understand and comply with standards, procedures, and work instructions established by Quality, Environmental, Occupational Safety, and Health systems, according to company policies and applicable legislation.
TECHNICAL COMPETENCIES
  • Education: Bachelor's Degree completed
  • Field of Study: Business Administration, Accounting
  • Language: Basic English
  • Experience: 4 years of experience in the area
  • Essential Knowledge/Skills: Financial Resources Process
  • Desired Knowledge/Skills: Not specified
BEHAVIORAL COMPETENCIES
  • Proactive attitude / Initiative, Collaboration, Communication, and Customer Focus.

All your information will be kept confidential according to EEO guidelines.

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