Treasury Analyst - Trilingual
Bogotá
Workplace: RemoteFull timeFunction: Finance & AccountingEducation: bachelorsSkills: ["Proactive attitude","Initiative","Collaboration","Communication","Customer focus"]Manage and classify revenue and expense cash flows to support daily cash reporting and financial position management reports. Monitor financial investments daily, including profitability, investments, and redemptions, and ensure accurate transaction entry and verification against bank statements. Perform reconciliations between company and bank balances, prepare investment movement spreadsheets, and issue travel expense statements for control using company systems.

