Title: Bilingual Finance Coordinator Location: Colombia, 100% remote **Job Type**: undefined **Salary**: $5.5 - $6.0M COP Work Schedule: Monday to Friday, 7:00 a.m. - 5:00 p.m. (8:00 a.m.6:00 p.m.) schedule adapted to our headquarters in Cumming, GA. About Us International Trade Imports LLC, dba The Ricky Joy Company, is a family-owned business founded in 2007 and headquartered in Atlanta, Georgia. At Ricky Joy®, we are passionate about creating fun and delicious food and beverage products for children. Our products are available in more than 10,000 stores—including Walmart—across 40+ states in the Eastern and Central U.S., through partnerships with local distributors. Position Objective Lead the company's financial planning, analysis, and control, ensuring the quality and timeliness of information for strategic decision-making. You will be responsible for preparing budgets, financial projections, profitability analysis, monitoring key indicators, and supporting accounting, tax, and financing processes. Main Duties Prepare and update economic projections and financial models for strategic planning. Analyze the profitability and viability of new products, projects, and investments. Perform cash flow projections, inventory purchases, sales volumes, and funds per account. Design and analyze sales models and profit margins. Prepare and consolidate sales, cost, and expense budgets with the responsible departments. Upload and update the budget and financial reports in Netsuite. Oversee and review monthly financial statements, P&L; analysis, and accounting classification. Ensure the quality, integrity, and timeliness of the financial information presented to management and the president. Support the monthly and annual financial close, including the preparation of executive reports and presentations. Evaluate the financial impact of pricing policies, discounts, and changes in product costs. Manage customer credit analysis, quota allocation, and portfolio monitoring. Coordinate relationships with CPAs for tax filing and payment. Prepare financial documentation for submissions to banks or other financial entities. Monitor financial projects and adjustments in ERP systems. Verify compliance with tax, legal, and administrative regulations in the financial area. Actively participate in improvement plans, training, preventive actions, and interdepartmental work. Manage internal requests related to the area and collaborate on strategic organizational initiatives. Profile Requirements Position Requirements: Professional in Finance, Public Accounting, Business Administration, Economics, or related fields. Minimum 4 years of experience in finance, accounting, or financial planning. Previous experience in process coordination or leadership roles will be highly valued. Strong knowledge of financial analysis, budgeting, cash flow, and financial modeling. Advanced proficiency in Microsoft Excel tools (pivot tables, financial formulas, projections) and Power BI is a plus. Knowledge of accounting, tax, and administrative regulations. Ability to interpret financial statements and prepare management financial reports. Experience presenting reports to management and external entities is desirable. English level B2 - C1 (mandatory). Key Competencies Analytical and strategic thinking Planning and organization Results-orientation Autonomy and proactivity Confidentiality and professional ethics Adaptability and continuous learning Compensation & Benefits birthday off Undefined contract 100% remote work We provide the equipment Essential medical plan Funeral agreement Connectivity assistance Access to the Caring Team - our internal wellness support program Ricky Joy Academy - internal professional development Opportunities for advancement within the company The Ricky Joy Company is an Equal Opportunity Employer. We believe in creating an inclusive environment where everyone feels welcome, valued, and empowered to grow. Tipo de puesto: Tiempo completo, Indefinido Pregunta(s) de postulación: - How would you rate your knowledge of financial analysis, budgeting, cash flow management, and financial modeling? (1-10) - How would you rate your knowledge using Microsoft Excel (including pivot tables, financial formulas, and projections)? - Do you have experience with current accounting, tax, and administrative regulations? - Have you held any coordination or leadership responsibilities in previous roles? - Do you have at least 4 years of experience working in finance, accounting, or financial planning roles? Idioma: - Inglés (Obligatorio)