
Job Description
Ovii's Interpretation of the Role
The Corporate Finance Manager will lead financial planning, forecasting, budgeting, and executive analysis for a fast‑growing staffing firm. This role blends FP&A, strategic finance, treasury oversight, and executive communication to drive data‑driven decisions across operations, sales, and product teams.
Role Snapshot
- Lead financial planning & budgeting
- Executive financial reporting
- Strategic financial modeling
- Treasury & cash‑flow management
- Cross‑functional collaboration
- Mentor junior finance staff
Must-Have Requirements
- Corporate finance / FP&A / investment banking / strategic finance experience
- Advanced financial modeling (DCF, NPV, IRR, scenario analysis)
- Advanced Excel or Google Sheets
- ERP systems (NetSuite, SAP, Oracle)
- Executive‑level presentation and communication
- Corporate finance
- FP&A
- Investment banking
- Strategic finance
- Bachelor’s degree in Finance, Accounting, Economics or related field
Nice-to-Have Signals
- CFA, CPA, or MBA
- M&A transaction support, due diligence, capital raising, investor relations
- Familiarity with BI tools (Power BI, Tableau, Looker)
- Experience in SaaS professional services high‑growth companies
- M&A transactions
- Capital raising
- Investor relations
- SaaS professional services
- High‑growth companies
- CFA
- CPA
- MBA
Work Setup
- Location: Brazil
- Work mode: REMOTE
- Remote scope: COUNTRY_RESTRICTED
- Remote countries: Brazil
- Timezone: U.S. Business Hours
- Employment type: Full-Time
- Shift: U.S. Business Hours
Not Specified in JD
- Salary range
- Visa sponsorship
- Travel requirement
What You'll Likely Work On
- Drive annual budgeting and quarterly forecasting cycles, building rolling forecasts for revenue, expenses, and cash flow.
- Develop and maintain advanced financial models for valuation, ROI, and scenario analysis to support investment decisions.
- Prepare and deliver executive‑level financial packages, KPI dashboards, and board presentations with clear variance commentary.
- Monitor treasury, liquidity, and working‑capital metrics, supporting debt covenant tracking and capital allocation.
- Partner with operations, sales, and product leaders to align financial plans with business objectives and pricing decisions.
- Mentor junior finance and FP&A team members, improving reporting workflows and ERP automation.
Good Fit If You Have
- Strategic thinker with strong analytical rigor
- Clear communicator comfortable presenting to executives
- Thrives in fast‑paced, high‑growth environments
- Experience in SaaS or professional‑services firms is a plus
- Familiarity with BI tools enhances impact
Skills
- Advanced financial modeling (DCF, NPV, IRR, scenario analysis)
- FP&A forecasting & budgeting
- Advanced Excel / Google Sheets
- ERP systems (NetSuite, SAP, Oracle)
- Executive‑level presentation & communication
- Cash‑flow & liquidity management
- Strategic finance analysis
- BI tools (Power BI, Tableau, Looker)
Remote Eligibility
- Brazil