*Travel experience abroad to Sao Paulo for 6 months to learn and then held in Uruguay the treasury activities for Brasil.
*Responsible for the daily cash flow of the three products of the company (crop, seeds and nutrade).
*Daily accountancy and reclassification of bank movements.
*Daily derivatives reports, accountancy.
*Daily, Weekly and Monthly reports of financial applications and rescues.
*Requirements, payments, procedure and accountancy of loans with headquarters.
*Record and report of exchange rates.
*Daily Report of Management Cash for the implementation of decisions.
*Daily account balance report, collections, applications and financial rescues.
*Participation in project Platform 17 (closure and absorption of one of the companies).
* Accounting registration in SAP system of all bank movements (commissions, derivatives, loans, transfers, rescues,
investments, applications, etc).
* Monthly Sox controls
* Support for Mexico activities in vacancy opportunity.