- Location
- São Paulo, Brazil
- Workplace
- Hybrid
- Type
- Full-time
- Department
- Finance
- Seniority
- Manager
- Source
- Workday
Description
We are excited to provide you with opportunities to grow.
Responsabilities:
Consolidate the financial information from all group companies to ensure accuracy and completeness in cash positioning and Accounts Receivable’s reporting.
Partner with regional finance teams to monitor and improve DSO performance, strengthen collection processes and reduce overdue receivables.
Partner with regional finance and business leaders to ensure alignment on cash flow forecasting, working capital initiatives and treasury processes.
Identify opportunities for improving Treasury processes, performance (including working capital) and reporting efficiency, recommending and implementing solutions as needed.
Support the Company’s capital structure strategy by evaluating financing alternatives, investment opportunities, and new equity deployment decisions in alignment with business objectives.
Manage the Company’s debt portfolio and funding strategy, including new loans negotiations and refinancing initiatives.
Ensure compliance with all debt agreements, treasury policies, and financial covenants, proactively identifying risks and coordinating corrective actions when required.
Develop treasury team members while promoting best practices, process standardization, and Company´s culture across the treasury function.
Focus on automation of processes, streamlining of the local activities, evaluation and implementation of AI solution where applicable
Modelling of Financial Instruments (Debt, Derivatives, Investments)
Job Profile
Education: Bachelor’s in economics / business / accounting / engineering or similar
Required Experience: 8 to 10 years of relevant Finance and Treasury experience, preferably in companies with multiple country operations
Technical Knowledge:
Cash Flow forecasting and management
Credit and Collection
Relevant experience in Treasury and Finance reports
Debt Management
Financial Covenants monitoringFinal del formulario
Financial Risk Management, Derivatives, Hedges
Other skills:
Excel expert user
VBA / Python / R codes are a “plus”
Critical thinking
Analytical skills
Solutions oriented
Works well under time pressure
Team player
Multi-Cultural exposure is a plus
Languages:
English (fluent) / Spanish (advanced)
Let's redefine the future of the cold chain in Latin America together!
We are looking for you!