Corporate Finance Manager at Pavago
, , Colombia -
Full Time


Start Date

Immediate

Expiry Date

04 Aug, 26

Salary

0.0

Posted On

06 May, 26

Experience

5 year(s) or above

Remote Job

Yes

Telecommute

Yes

Sponsor Visa

No

Skills

Financial Planning & Analysis, Financial Modeling, Budgeting, Forecasting, DCF Analysis, ROI Modeling, IRR Calculations, Treasury Management, Executive Reporting, Variance Analysis, Cash Flow Management, Strategic Finance, ERP Systems, KPI Dashboards, Scenario Planning, Stakeholder Reporting

Industry

Staffing and Recruiting

Description
💼 Corporate Finance Manager (FP&A, Strategic Finance & Financial Planning) Full-Time Remote | U.S. Business Hours 🚀 About the Role We’re hiring a highly analytical and strategic Corporate Finance Manager to lead financial planning, forecasting, budgeting, 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, building executive-level reporting, supporting investment decisions, improving forecasting accuracy, and helping leadership make data-driven business decisions. This role combines: FP&A, strategic finance, treasury oversight, financial modeling, and executive communication. You’ll work closely with leadership across operations, sales, and product teams while helping scale financial systems and processes in a fast-moving environment. 🔥 What You’ll OwnFinancial Planning & Forecasting Lead annual budgeting and quarterly forecasting cycles Build and maintain rolling forecasts for revenue, expenses, and cash flow Partner with department leaders to align financial plans with business goals Improve forecasting accuracy and reporting visibility Support long-term strategic planning initiatives Financial Modeling & Strategic Analysis Build advanced financial models for: DCF analysis ROI modeling IRR calculations scenario planning investment decisions Conduct sensitivity and variance analysis Support strategic initiatives through data-driven recommendations Evaluate operational and financial performance trends Executive Reporting & Business Insights Prepare: monthly financial packages KPI dashboards executive summaries board presentations Deliver clear variance commentary and performance insights Translate financial data into actionable recommendations for leadership Support investor and stakeholder reporting initiatives Treasury & Cash Flow Management Monitor: liquidity, working capital, and cash flow performance Support debt covenant tracking and banking relationships Assist with treasury planning and capital allocation decisions Improve financial visibility and operational forecasting Cross-Functional Collaboration Partner with: operations, sales, product, and leadership teams Align business initiatives with financial objectives Support pricing, investment, and growth-related decisions Contribute to operational and strategic planning conversations Team Leadership & Process Improvement Mentor and support junior finance and FP&A team members Improve reporting workflows and financial processes Support ERP optimization and reporting automation initiatives Strengthen financial controls and reporting accuracy ✅ Required Experience & Skills 5+ years of experience in: corporate finance, FP&A, investment banking, or strategic finance Advanced financial modeling expertise: DCF NPV IRR scenario analysis forecasting models Strong Excel and/or Google Sheets skills Experience with ERP systems such as: NetSuite SAP Oracle Strong executive-level presentation and communication skills Bachelor’s degree in: Finance Accounting Economics or related field ⭐ Preferred Qualifications CFA, CPA, or MBA Experience supporting: M&A transactions due diligence capital raising investor relations Familiarity with BI tools: Power BI Tableau Looker Experience in: SaaS professional services high-growth companies 🧠 What Makes You a Strong Fit You think strategically while maintaining financial accuracy You can communicate complex financial insights clearly You are highly analytical and detail-oriented You are comfortable presenting to executives and leadership teams You enjoy building scalable financial systems and processes You thrive in fast-paced, evolving business environments 📅 What a Typical Day Looks Like Review forecast updates and operational performance metrics Update financial models and scenario analyses Prepare executive reporting and KPI dashboards Partner with department leaders on budgeting and planning Analyze cash flow and liquidity trends Support strategic finance initiatives and investment decisions Mentor junior finance team members and improve reporting workflows In short: You help leadership understand the financial health of the business, improve decision-making, and drive long-term strategic growth through accurate planning and analysis. 📊 Key Metrics for Success (KPIs) Forecast accuracy and reliability Timely completion of budgeting and reporting cycles Quality of executive reporting and strategic insights Cash flow visibility and liquidity management Financial model accuracy and decision support effectiveness Operational efficiency improvements within FP&A processes 🌟 Why This Role Stands Out Direct exposure to executive leadership and strategic decision-making High-impact role influencing company growth and financial direction Opportunity to work across FP&A, treasury, and strategic finance Leadership and mentoring responsibilities Exposure to board-level reporting and investment analysis Remote flexibility with strong career growth potential 🧪 Interview Process Initial Screening Recruiter Interview Client Interview Offer & Onboarding 👉 Apply Now If you: enjoy financial modeling and strategic analysis, thrive in FP&A and corporate finance environments, can translate numbers into business insights, and want to play a key role in executive decision-making, this role is a strong fit for you.
Responsibilities
Lead financial planning, forecasting, and budgeting while providing strategic analysis to support executive decision-making. Manage treasury oversight, cash flow performance, and create high-level reporting for board and investor presentations.
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