




Job Summary: Experienced professional for corporate and financial management, focusing on process optimization, risk control, and development of cash and investment strategies. Key Highlights: 1. National-level strategic financial and business management. 2. Process optimization and performance indicator-based management. 3. Development of cash management and investment strategies. Description: * Bachelor's degree completed — Business Administration, Engineering, Accounting, Administration, Finance, or related fields; * Completed postgraduate program or MBA; * Advanced Microsoft Office proficiency; * Immediate availability to start; * Experience in corporate management; * Experience in structuring and managing by KPIs and performance indicators; standardization and structuring of processes aimed at optimization and efficiency; * Experience in financial routines and activities, including Accounting, Controller, Treasury, Accounts Payable, Tax, and National Reporting; * Responsible for all areas: Financial Planning & Analysis (FP&A), Controller, Treasury, Accounting, Pricing, and Tax (Brazil level); * Coordinate with other business units to ensure financial operational effectiveness and integrity of accounting records; * Identify and manage financial risks; * Develop and implement corporate cash management and investment strategies; 251107020230511295


