





Join a leading agricultural innovation company, we are looking for professionals committed to sustainable agricultural development. Functions: * Manage daily cash flows and liquidity projections. * Manage relationships with banks and financial institutions. * Monitor bank accounts and bank reconciliations. * Supervise payments to suppliers, payroll, taxes, and other financial obligations. * Prepare periodic financial reports related to treasury operations. * Evaluate and implement short-term financing and investment strategies. * Ensure compliance with internal treasury and financial control policies. * Participate in the preparation of the annual budget and monitor its execution. * Identify and mitigate financial risks associated with cash flow. **Requirements** * University degree in accounting, finance, economics, or business administration. * Specialization or courses in treasury, corporate finance, or similar (desirable). * Minimum of 3 to 5 years of experience in financial areas, preferably in treasury roles. * Proficiency in accounting and financial tools (ERP, advanced Excel, etc.). * Up-to-date knowledge of tax and banking regulations. * Experience in the agro-industrial sector. **Benefits** * Formal employment from day one with all statutory benefits. * Career development opportunities. * Continuous training. * Collaborative work environment focused on growth. * Transportation (company bus). * Lunch provided. Job type: Full-time Salary: Starting at S/.1,500.00 per month Work location: On-site position


