.GMA offers a great opportunity to join the team as a Financial Manager for Investment Funds. With a university degree in Finance or a related field, and a minimum of 5 years of previous work experience as a multi-company financial manager, experience in hotel investment will be valued. Responsibilities: Strategic financial management: Develop and execute long-term financial strategies to drive company growth and profitability. Determine the necessary inputs for investment, financing, and risk to participate in decision-making for investment and divestment objectives for each asset throughout its lifecycle. Analyze reinvestment of cash flows in the company and/or distribution of dividends to investors, taking into account time and uncertainty, considering the value of money and/or interest rates, availability or not of necessary funds. Knowledge of money and capital market practices to optimize asset and company value for owners, shareholders, and partners. Financial planning and analysis: Develop budgets and financial forecasts. Perform financial analysis and risk assessments to identify improvement opportunities and mitigate potential threats. Provide accurate and timely financial reports to senior management and shareholders. Treasury and risk management: Analyze, assess, and manage the company's financial risks, such as currency, credit, stock, and market risks. Ensure proper treasury management, including liquidity management, investment management, financing, and tax planning. Analysis and management of cash flow generation optimization versus initial investment. Regulatory compliance: Ensure compliance with applicable financial laws and regulations. Financial reporting in accordance with accounting principles and international standards. Ability to prepare reports independently, working with external auditors and regulatory bodies when necessary. Accounting Management: Billing and collections management with Banks and Suppliers. Tax processing (VAT, Corporate Income Tax, Personal Income Tax, etc.). Preparation of reports to Public Administrations, Banks, etc. Processing of files in official departments/organizations. Monthly, quarterly, and annual accounting closings (issuance of invoices, accounting, etc.). This is a "hands-on" financial position involving development and execution, not just supervision: individual, personal, direct, and strategic management of the portfolio. Daily, monthly, and annual coordination and monitoring of hotel portfolios to ensure compliance with contracts and agreements, as well as reconcile Property and Operator priorities to optimize asset value, both at the corporate and asset levels. Fixed compensation and variable conditions based on experience provided. Send detailed and updated CV to: Only applicants who meet all the required skills and experience for this position will be contacted