Jobs Career Advice Post Job
X

Send this job to a friend

X

Did you notice an error or suspect this job is scam? Tell us.

  • Posted: May 19, 2026
    Deadline: Not specified
    • @gmail.com
    • @yahoo.com
    • @outlook.com
  • Pavago is an offshore recruitment company that helps small and medium-sized businesses source global talent in operations, marketing, sales, and more. Founded in 2022, Pavago is fully remote, with 15 team members in Latin America, Europe, Asia, and the United States. In addition to using Plane to hire and pay its team members, Pavago also refers its own c...
    Read more about this company

     

    Corporate Finance Manager

    About the Role

    • We’re hiring a highly analytical and strategic Corporate Finance Manager to lead financial planning, forecasting, capital allocation, and executive financial analysis for a growing business.
    • This is not a transactional accounting role.

    You will play a critical role in:

    • driving financial strategy,
    • supporting executive decision-making,
    • building financial models,
    • improving forecasting accuracy,
    • and helping leadership allocate capital effectively.

    This role combines:

    • FP&A,
    • strategic finance,
    • treasury management,
    • executive reporting,
    • financial modeling,
    • and investment analysis.
    • You’ll work directly with leadership, helping translate financial data into actionable business decisions while supporting long-term company growth.

    What You’ll Own
    Financial Planning & Forecasting

    • Lead annual budgeting processes across departments and business units
    • Manage rolling monthly and quarterly forecasts
    • Consolidate financial reporting across:
    • entities,
    • teams,
    • or geographies
    • Improve forecast accuracy and planning visibility
    • Support long-term financial planning initiatives
    • Strategic Finance & Investment Analysis
    • Build advanced financial models including:
    • DCF
    • ROI
    • IRR
    • NPV
    • scenario analysis
    • sensitivity analysis
    • Evaluate:
    • capital investments,
    • growth initiatives,
    • pricing strategies,
    • and M&A opportunities
    • Identify:
    • margin improvement opportunities,
    • cost efficiencies,
    • and operational risks
    • Provide data-driven recommendations to leadership

    Cash Flow & Treasury Management

    • Monitor:
    • liquidity,
    • working capital,
    • and cash positions
    • Support:
    • debt covenant compliance,
    • capital structure management,
    • and financing strategies
    • Partner with:
    • banking institutions,
    • investors,
    • and executive leadership
    • Improve treasury visibility and financial planning processes

    Executive Reporting & Financial Insights

    • Prepare:
    • board presentations,
    • KPI dashboards,
    • monthly reporting packages,
    • executive summaries
    • Deliver clear variance analysis and commentary
    • Translate complex financial data into actionable business insights
    • Ensure reporting accuracy and GAAP/IFRS alignment

    Cross-Functional Leadership

    • Partner with:
    • operations,
    • sales,
    • product,
    • and executive teams
    • Align financial strategy with operational execution
    • Support fundraising and investor-related initiatives
    • Mentor and review work from financial analysts and junior team members

    Controls & Process Improvement

    • Strengthen:
    • forecasting workflows,
    • reporting processes,
    • and internal controls
    • Support:
    • audits,
    • due diligence,
    • and compliance initiatives
    • Improve reporting scalability and financial visibility
    • Drive automation and operational finance improvements

    Required Experience & Skills

    • 5+ years of experience in:
    • corporate finance,
    • FP&A,
    • investment banking,
    • or strategic finance
    • Advanced Excel / Google Sheets expertise:
    • scenario modeling
    • financial forecasting
    • consolidations
    • macros
    • sensitivity analysis
    • Strong experience with:
    • NetSuite
    • SAP
    • Oracle
    • or similar ERP systems
    • Proven experience preparing:
    • executive reporting
    • financial models
    • board presentations
    • Strong analytical and strategic thinking abilities

    Preferred Qualifications

    • MBA, CFA, or CPA
    • Experience supporting:
    • M&A transactions
    • fundraising
    • investor relations
    • capital allocation initiatives
    • BI dashboard experience:
    • Power BI
    • Tableau
    • Looker
    • Background in:
    • SaaS
    • professional services
    • multi-entity organizations

    What Makes You a Strong Fit

    • You combine strategic thinking with hands-on financial analysis
    • You can simplify complex financial insights for leadership
    • You are highly analytical, detail-oriented, and organized
    • You thrive in fast-paced business environments
    • You enjoy influencing business decisions through data
    • You are comfortable presenting to executives and stakeholders

    What a Typical Day Looks Like

    • Update forecasts and review financial variances
    • Build and refine investment and forecasting models
    • Prepare board and executive reporting materials
    • Analyze cash flow, liquidity, and operational performance
    • Meet with department leaders to align forecasts and goals
    • Review analyst work and provide mentorship
    • Identify financial risks and opportunities proactively

    Check how your CV aligns with this job

    Method of Application

    Interested and qualified? Go to Pavago on apply.workable.com to apply

    Build your CV for free. Download in different templates.

  • Send your application

    View All Vacancies at Pavago Back To Home

Career Advice

View All Career Advice
 

Subscribe to Job Alert

 

Join our happy subscribers

 
 
 
Send your application through

GmailGmail YahoomailYahoomail