Job Description
Get AI-powered advice on this job and more exclusive features.
- Preparation of financial information: Prepare financial reports that allow the control and monitoring of operations: budget control and financial projections, performance analysis, analysis of profitability of investments, products and services. Monitoring of financial KPIs and monthly maintenance of the company's control dashboard.
- Financial Planning: Administration of the company's annual budget and long-term financial model. Preparation of projections, balance sheet, income statements and cash flows. Liquidity analysis and analysis of the company's indebtedness.
- Cash flow monitoring: Monitoring the company's cash flows to ensure that there is sufficient liquidity to meet short-term obligations, without neglecting long-term investment opportunities.
- Tax planning: Optimize tax strategies to minimize the tax burden without compromising regulatory compliance.
- Contro...
Apply for this Position
Ready to join COGENIO IBERIA, S.L.? Click the button below to submit your application.
Submit Application