Description
The role supports monitoring and controlling the company’s financial flows through cash-flow and cash-projection modeling, budget and forecast analysis, working-capital optimization, financial reporting, scenario analysis, investment monitoring, and financial-risk management. It requires a bachelor’s degree in a relevant field, finance and controllership experience, advanced Excel, SAP FICO ERP experience, and intermediate English; Power BI and intermediate Spanish are preferred. The position is 100% on-site in Pinheiros, São Paulo, and includes meal, transportation, life insurance, health-plan, pension, and other benefits.
