




Job Summary: We are seeking a professional with strong control-oriented mindset, financial organization skills, and direct support capability for partners' decision-making—able to structure processes and ensure reliability. Key Highlights: 1. Strategic vision and direct support to partners' decision-making 2. Leadership in financial planning and budgetary control 3. Cost management, internal controls, and financial governance We seek a professional with strong control orientation, financial organization skills, and direct support capability for partners' decision-making—capable of structuring processes, ensuring information reliability, and closely monitoring company operations. Responsibilities include consolidating and monitoring financial, tax, and operational routines, ensuring cash flow predictability, cost control, and transparency in business results. Lead financial planning and budgetary control, monitoring budgets, forecasts, and result variances; Manage and consolidate managerial accounting, ensuring clear analysis of revenues, costs, expenses, and profitability by channel, product, or business unit; Monitor and validate financial statements (Income Statement, Balance Sheet, and Cash Flow Statement), ensuring data consistency and strategic alignment; Design and maintain management reports and dashboards for partners, featuring critical analysis of financial and operational performance; Supervise routines across finance, tax, and accounting departments, ensuring compliance, timeliness, and data quality; Manage operational costs, identifying opportunities for optimization and margin improvement; Manage financial, tax, and operational risks, proposing controls and risk mitigation strategies; Implement and strengthen internal controls and internal audit processes, ensuring governance and data reliability; Serve as the interface and controller for outsourced logistics operations, monitoring cost indicators, operational efficiency, contracts, and service levels; Monitor and validate tax and fiscal routines, ensuring regulatory compliance and tax management efficiency; Support process improvement, system enhancement, and automation initiatives for financial and operational controls; Coordinate administrative and infrastructure/facilities support activities, ensuring smooth operational functioning. **Requirements:** Bachelor’s degree in Business Administration, Accounting, Economics, or related fields; Postgraduate degree or specialization in Finance, Controllership, or Business Management; Solid experience in controller functions, finance, and financial KPI management; Experience managing teams in finance, tax, or accounting areas; Hands-on experience in financial planning, budgeting, and results analysis; Knowledge of cost management, internal controls, and financial governance; Experience with ERP systems, BI tools, and data analysis is considered a plus; Analytical, structured profile with strong organizational ability, business acumen, and cross-functional collaboration skills. Benefits **Work model:** On-site, from 8:00 AM to 6:00 PM Contract type: PJ (Individual Entrepreneur). Salary range: BRL 15k–20k per month Vacation after 1 year, with invoice payment normally processed in the following month + 13th-month invoice **Location:** Near Av. Paulista area. **Direct reporting line:** Partners / Executive Management **Areas under management:** Finance, Tax, Controllership, and liaison with Logistics.


