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Region
AFC Coordinator South America– Proyectos en Argentina y Sudamérica
¿Te
gustaría formar parte de algunos de los proyectos industriales más
importantes de Sudamérica?
We are Met T&S,
the Global Employment Company of MAIRE group, an industrial
leader in Engineering & Construction, Technology & Licensing, and
Energy Business Development and Ventures. Listed on the Milan Stock Exchange,
the Group is among the global top-ranking engineering contractors. You can
find, and we invite you to discover more about MAIRE group and its projects
on our web site: https://www.groupmaire.com/en/
¿Hablas español y tienes experiencia liderando obras
industriales en Latinoamérica? Esta podría ser tu próxima oportunidad
profesional.
What
we are looking for:
We are
particularly interested in professionals who:
- Are fluent in Spanish
(mandatory) and English.
- Have experience managing
large industrial, EPC, energy, oil & gas, petrochemical, or
infrastructure construction sites.
- Understand local South
American construction environments, contractors, and regulations.
- Are comfortable working in
multicultural and international project teams.
- Are willing to support
projects across Argentina and other countries in the region when
required.
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Coordinate
the Administration, Finance & Control activities of the Region with main
focus on the Argentinean Company, ensuring accurate accounting and reporting,
effective cash and financial management, full compliance with local fiscal
and statutory requirements, and timely support to projects and commercial
activities.
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Following
the guidelines of the Responsible and in close coordination with AFC Head
Office Departments, for the assigned geographic region, the Region AFC
Coordinator South America has the following main responsibilities:
Oversee
local accounting and coordinate the activities of Accounts Payable, Accounts
Receivable and General Accounting, ensuring compliance with Group policies
and local statutory requirements; Supervise
the daily activities of the Function which includes bookkeeping, payments,
suppliers/clients’ queries, internal reporting requested by the management,
intercompany reconciliation and credit collection, cash flow forecast. Coordinate
monthly, quarterly and year-end closing activities, review reconciliations
and ensure the accuracy and completeness of accounting records and reporting
packages; Manage statutory financial statements and Group reporting under
applicable local accounting standards and IFRS, coordinating with external
auditors and local advisors; Manage
cash flow, liquidity forecasts, payments, collections, banking activities,
intercompany settlements and foreign-exchange exposures in close
collaboration with the Finance structures; Coordinate
with Group Trading Department the internal reporting and prepare the
necessary trade finance documentation and control (for example letter of
credit and bank guarantees); Coordinate
with Maire Tecnimont Responsible of the Financial Planning & Treasury
Function with financial strategies (for example: opening of letter of credit,
Intercompany Loans, cash pooling management); Ensure
application of the guidelines for planning, management control, project
accounting and reporting, analysing variances and proposing corrective
actions; Ensure
full observation of the policies established by the parent company regarding
the relative tasks, contributing to their correct application in the company
and in the subsidiary/managed companies; Manage
direct and indirect tax compliance, including Corporate Income Tax, VAT,
turnover/gross receipts taxes, municipal taxes, withholding and collection
regimes, and other applicable fiscal obligations; Coordinate
tax audits and inspections, tax reconciliations, transfer-pricing
documentation, intercompany agreements and tax reporting in close
coordination with Group Fiscal Affairs and local advisors; Assess
the tax and administrative implications of contracts, cross-border services,
imports, permanent establishments and new projects, and support the
commercial and project teams on AFC matters; Maintain
AFC procedures, internal controls and supporting documentation, ensuring
timely remediation of identified issues and compliance with audit
requirements; Coordinate and develop assigned AFC resources, allocate
activities, monitor deadlines and promote effective cooperation with Home
Office and other Group Functions;
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