




Job Summary: The professional will analyze and translate financial and operational data into actionable insights to guide decisions and improve business margin, cash flow, and efficiency. Key Highlights: 1. Financial and operational data analysis and interpretation 2. Profit assurance, cash flow control, and risk anticipation 3. Indicator development and enhancement The professional will analyze, connect, and translate financial and operational data into actionable insights that guide decisions and improve business margin, cash flow, and efficiency. Ensure indicator development and enhancement of existing indicators (operational and financial). Ensure real-time visibility into profit, cash flow control, and risk anticipation impacting business results. **Technical Competencies:** Understand margin (gross, contribution, net) Identify distortions (incorrect COGS, misallocated expenses) Bridge the gap between accounting vs. managerial income statements Cash flow forecasting (rolling forecast) Working capital management Financial cycle (receivables days, payables days, inventory days) Inventory (turnover, coverage, stockouts) **Minimum Education:** Bachelor's Degree


