Finance Manager

São Paulo Permanente

Atualizada 03/08/2022

  • Experience in Finance (FP&A, Treasury, Accounting and Tax)
  • Team Management, Retail experience, Fluent English

Sobre nosso cliente

Our client is a major international fashion retail brand


  • Develop and maintain timely and accurate financial statements and reports that are appropriate for the users and in accordance with generally accepted accounting principles (GAAP).
  • Develop, implement, and ensure compliance with internal financial and accounting policies and procedures.
  • Ensure that all statutory requirements of the organization are met including Charitable Status, Withholding Payments (CPP, EI), Income Tax, Goods and Services Tax, Employer Health Tax.
  • Prepare all supporting information for the annual audit and liaise with the Board's Audit Committee and the external auditors as necessary;
  • Active role in developinganddefiningtheoverallstrategy for theorganization
  • Strategic and Business advisor to Country Manager, providing insight and analysis to support the
  • Country Manager and ensuring that business decisions are grounded in sound financial criteria.
  • Review monthly results and implement monthly variance reporting.
  • Manage the cash flow and prepare cash flow forecasts in accordance with policy.
  • Oversee the bookkeeping function including maintenance of the general ledger, accounts payable, accounts receivable and payroll.
  • Develop and implement policies and procedures to ensure that personnel and financial information is secure and stored in compliance with current legislation.
  • Establish guidelines for budget and forecast preparation and prepare the annual budget in consultation with the LATAM Sr. Director of Finance.
  • Assist Program Directors and Project Managers with the preparation of budgets for funding applications.
  • Document and maintain complete and accurate supporting information for all financial transactions.
  • Develop and maintain financial accounting systems for cash management, accounts payable, accounts receivable, credit control, and petty cash.
  • Evaluate the need for new technology to meet the organization's financial data processing, control, and reporting requirements.
  • Ensure a company's annual earnings, expenditures and investments are reported with accuracy and completeness.
  • Research the implications of tax laws and advise clients on tax related issues.
  • Audit internal controls for accuracy.
  • Research and develop tax-saving strategies. Plan, direct, and execute various tax projects.
  • Perform research and prepare/review technical tax memorandum.
  • Manage, develop, and mentor staff/managers on projects and assess performance through formal periodic reviews and informal feedback.
  • Monitor risk management policies and procedures to ensure that program and organizational risks are minimized.

O candidato

  • Bachelor's Degree in in Accounting, Business or Finance;
  • Post-Graduation.
  • Previous experience in controllership/accounting (minimum 5 years)
  • Languages: Fluent English (must have), Spanish (nice to have)
  • At least 5 years in managerial positions
  • Team Management & Team Development Skills

O que está sendo ofertado

  • Attractive Package!!
  • Regime de trabalho Presencial.
Thalyta Nakabayashi
Referência da Vaga

Resumo da vaga

Financeiro & Tributário
Finance Manager
São Paulo
Tipo de contratação
Nome do consultor
Thalyta Nakabayashi
Referência da vaga