aligned. Responsibilities - Lead preparation of annual operating and capital budgets. - Consolidate inputs... forecasts for revenue, expenses, and cash flow. - Update models monthly or quarterly with actuals, adjusting assumptions...
and growth.Creating strategiesDeveloping plans to increase profits and cash flow, and implement operational best practices... capital and adding infrastructure, we can enable businesses to realize their full potential while continuing to scale the...
estratégico con entidades bancarias Seguimiento del cash flow, del presupuesto y de proyecciones financieras. Control de gastos...) Experiencia no menor a 3 años en puestos similares (excluyente) Residencia en Córdoba capital o alrededores. Disponibilidad full...