Chief Financial Officer (CFO)
Ontem
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POSITION OVERVIEW:
We are looking for a strategic and hands-on Chief Financial Officer (CFO) who will drive the company's financial strategy to achieve breakeven and accelerate growth. This role goes beyond traditional financial management; we need someone who can develop a strategy, monitor KPIs, and provide actionable insights to optimize operations. The CFO will be responsible for securing financing, leading M&A efforts, and acting as the main point of contact with investors. This role requires a strong command of Excel and Business Plan (BP) development.
KEY RESPONSIBILITIES:
Financial Strategy & Hands-On Management:
- Lead and execute financial strategies to drive operational efficiency and help the company move toward breakeven.
- Oversee daily financial operations, including managing cash flow and complex accounting processes.
- Improve financial reporting to accurately reflect the companys unique value and growth potential.
KPI Monitoring & Reporting:
- Establish, monitor, and report on key financial KPIs to track the companys financial health and operational efficiency.
- Provide strategic financial insights and regular reports to the executive team and the board of directors.
Financing & Investor Relations:
- Secure hardware financing by negotiating with multiple banks and financial partners.
- Lead the company's capital-raising efforts, including equity and debt financing.
- Build and maintain strong relationships with investors, including taking the lead in defending the companys position during negotiations.
- Actively engage in M&A opportunities to align with the companys strategic objectives
- Prepare financial models, investor presentations, and ensure transparent communication with investors.
Operational Support:
- Work closely with other departments to ensure financial strategies are aligned with operational goals.
- Provide financial leadership in all major business decisions, ensuring that financial considerations are integrated into company strategy.
QUALIFICATIONS:
- Proven experience as a CFO or in a similar financial leadership role in high-growth environments, preferably in startups.
- Strong skills in Excel and Business Plan (BP) development.
- Demonstrated ability to secure financing, lead investor relations, and negotiate with financial institutions.
- Experience in M&A, capital raising, and developing financial strategies to support business growth.
- Bachelor's degree in Finance, Accounting, or related field; MBA or CPA preferred.
WHY JOIN US?
This is an opportunity to play a critical role in shaping the future of a high-potential startup that addresses one of the main challenges of our generation. If you are a strategic thinker with a hands-on approach and the drive to solve complex financial challenges, we want you on our team.
Chief Financial Officer - Cfo
Publicado há 3 dias atrás
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Resumo
Estruturar e gerenciar todos os processos financeiros da empresa, garantindo organização e escalabilidade. Controlar o fluxo de caixa diário e projetado, assegurando a saúde financeira da operação. Realizar conciliação bancária e garantir acuracidade das informações financeiras. Analisar números e indicadores financeiros para identificar possibilidades de melhoria, economia e crescimento. Supervisionar contas a pagar e a receber, com foco em controle, eficiência e cumprimento de prazos. Atuar diretamente na rotina do financeiro operacional, colocando a mão na massa no dia a dia. Implementar boas práticas e ferramentas que contribuam para a maturidade da área financeira. Reportar dados estratégicos à diretoria e apoiar na tomada de decisão baseada em dados.
Formação e experiênciaFormação em Administração, Contabilidade, Economia ou áreas correlatas. Sólida experiência na área financeira, especialmente com rotinas operacionais. Perfil mão na massa, com capacidade de atuar tanto estrategicamente quanto no detalhe da operação. Domínio de fluxo de caixa, conciliação bancária e contas a pagar. Habilidade analítica e visão de negócio. Experiência prévia em ambientes de startup ou empresas em crescimento será um diferencial.
Informações adicionaisParticipar da construção de uma empresa que está revolucionando a educação por meio da IA. Ambiente jovem, inovador e com autonomia para propor e implementar melhorias. Oportunidade real de crescimento junto com a empresa.
Detalhes da vagaEmpresa: Camarmo Recrutamento e Seleção
Ramo: Recursos Humanos / Recrutamento e seleção
Cargo: Outros
Salário: A combinar
Formação Acadêmica: Não informado
#J-18808-LjbffrChief Financial Officer (CFO)
Publicado há 10 dias atrás
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Descrição Do Trabalho
Responsabilidades Principais:
1. Tesouraria
- Gerir a liquidez da empresa, garantindo recursos suficientes para o cumprimento das obrigações financeiras e operacionais (fluxo de caixa diário, semanal, mensal e anual).
- Desenvolver estratégias de captação e alocação de recursos, buscando otimizar custos financeiros e maximizar retorno.
- Estabelecer e monitorar políticas de hedge e gestão de riscos financeiros.
2. Contas a Pagar
- Garantir que os pagamentos sejam realizados de forma eficiente e dentro dos prazos acordados, minimizando riscos de inadimplência e conflitos com fornecedores.
- Implantar controles internos para evitar fraudes e inconsistências nos processos de pagamento.
3. Contas a Receber
- Supervisionar a política de crédito e cobrança, reduzindo índices de inadimplência e melhorando o ciclo de conversão de caixa.
- Assegurar a conciliação precisa dos recebimentos e a correta aplicação de recebíveis no sistema financeiro.
4. FP&A (Planejamento e Análise Financeira)
- Habilidade para desenvolver o conhecimento no planejamento estratégico da empresa (comercial, demanda, MKT e Novos Negócios). Precisa ser um parceiro estratégico.
- Liderar o planejamento financeiro e orçamentário da empresa, garantindo alinhamento com os objetivos estratégicos.
- Analisar cenários econômicos e operacionais, fornecendo insights e recomendações para a alta gestão.
- Desenvolver e acompanhar indicadores de desempenho financeiro e operacional (KPIs).
5. Contabilidade
- Garantir a conformidade contábil com os padrões nacionais (BR GAAP).
- Supervisar o fechamento contábil mensal e anual, assegurando a precisão das demonstrações financeiras.
- Atuar junto à auditoria externa, garantindo transparência e governança nos processos contábeis.
6. Custos
- Implementar e supervisionar sistemas de controle e alocação de custos.
- Analisar a rentabilidade por produto, identificando oportunidades para otimização de custos e aumento de margem.
- Verificar e validar a formação de preço de novos produtos.
- Colaborar com a fabrica na otimização da eficiência na produção.
7. Fiscal
- Assegurar a conformidade tributária e o cumprimento das obrigações acessórias perante órgãos reguladores.
- Identificar e implementar oportunidades de planejamento tributário que otimizem a carga fiscal da empresa.
- Mitigar riscos fiscais e manter relacionamento transparente com autoridades fiscais.
8. Faturamento
- Supervisionar os processos de emissão de notas fiscais, garantindo conformidade com as legislações vigentes.
- Garantir a integração eficaz entre as áreas de vendas, faturamento e logística.
- Monitorar a eficiência do ciclo de pedidos, emissão e entregas.
Qualificações Necessárias:
- Formação em Administração, Contabilidade, Economia ou áreas correlatas; MBA ou especialização em Finanças será um diferencial.
- Experiência comprovada em cargos de liderança financeira, preferencialmente em indústrias e empresas familiares.
- Conhecimento avançado em gestão de fluxo de caixa, modelagem financeira, processo de budget e sistemas de BI.
- Sólida compreensão das legislações fiscais e contábeis aplicáveis.
- Habilidade em liderar equipes multidisciplinares e projetos de transformação organizacional.
Chief Financial Officer - CFO
Publicado há 10 dias atrás
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Descrição Do Trabalho
Candidate-se rapidamente pelo email:
Nível: Gerente
Cursos de: Gestão Empresarial
Escolaridade: Graduação - Gestão Empresarial - Completo
Tipo de contrato: PJ
Jornada de trabalho: Horário comercial.
Responsabilidades Da Posição
Estruturar e gerenciar todos os processos financeiros da empresa , garantindo organização e escalabilidade.
Controlar o fluxo de caixa diário e projetado , assegurando a saúde financeira da operação.
Realizar conciliação bancária e garantir acuracidade das informações financeiras.
Analisar números e indicadores financeiros para identificar possibilidades de melhoria, economia e crescimento .
Supervisionar contas a pagar e a receber , com foco em controle, eficiência e cumprimento de prazos.
Atuar diretamente na rotina do financeiro operacional , colocando a mão na massa no dia a dia.
Implementar boas práticas e ferramentas que contribuam para a maturidade da área financeira .
Reportar dados estratégicos à diretoria e apoiar na tomada de decisão baseada em dados .
Requisitos Obrigatórios Para a Posição
Formação em Administração, Contabilidade, Economia ou áreas correlatas.
Sólida experiência na área financeira, especialmente com rotinas operacionais.
Perfil mão na massa , com capacidade de atuar tanto estrategicamente quanto no detalhe da operação.
Domínio de fluxo de caixa, conciliação bancária e contas a pagar.
Habilidade analítica e visão de negócio.
Experiência prévia em ambientes de startup ou empresas em crescimento será um diferencial.
Sobre a Empresa
Participar da construção de uma empresa que está revolucionando a educação por meio da IA .
Ambiente jovem, inovador e com autonomia para propor e implementar melhorias.
Oportunidade real de crescimento junto com a empresa.
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Data Analytics Manager / Parque da Cidade - São Paulo - SP #J-18808-LjbffrChief financial officer (cfo)
Publicado há 10 dias atrás
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Descrição Do Trabalho
Responsabilidades:
-Liderança integral da área financeira, com foco principal em FPA, estruturação de processos e suporte direto à tomada de decisão.
-Construção de modelos financeiros robustos para projeções, cenários, rentabilidade por unidade e suporte à expansão.
-Responsável por budget, forecast, acompanhamento de KPIs, relatórios de desempenho e material para investidores ou conselhos.
-Atuação como parceiro estratégico dos fundadores, com voz ativa na priorização de iniciativas e decisões de alocação de capital.
-Suporte à captação de investimentos, negociação com stakeholders e alinhamento de expectativas financeiras com o plano de crescimento.
-Estruturação e desenvolvimento da área como um todo processos, equipe e cultura de dados.
Requisitos:
-Experiência sênior em liderança financeira, com foco forte em planejamento e performance;
-Histórico sólido em FPA, contabilidade gerencial, estruturação de processos e análise de negócios;
-Vivência em ambientes de crescimento acelerado, como startups, scale-ups ou empresas em reestruturação;
-Forte bagagem técnica aliada a visão crítica e capacidade de simplificar e comunicar com clareza;
-Fluência em inglês será avaliado durante o processo;
-Experiência em empresas com cultura estruturada ou passagem por Big Four será um diferencial.
Chief Financial Officer
Publicado há 17 dias atrás
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Overview
Work overseas NOTE experienced applicants only and all applicants must have a valid international passport
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Listings- WAREHOUSE WORKE | CZECH REPUBLIC | Without work experience | for all foreign citizens
- WAREHOUSE - Logistics - Customs
- Food warehouses
- PACKAGING OF SWEETS | POLAND | Without work experience | for all foreign citizens
- PACKAGING OF SWEETS. LINE OPERATORWe DON'Thave a sponsorship program, DON'T havefree services.The company is a world leader in the production of sweets. These products are manufactured by our employees.Address and city of work: Skarbimierz.Po.
- Jobs available in princess cruise company
- $3500 $
- USA
Description of work: collection of orders by invoices, packaging and sticking of goods in warm and cold warehouses.
Requirements: good physical form; re.
City of Prague
#J-18808-LjbffrMercado Financeiro – Chief Financial Officer (CFO) – Agrosmart – Remoto
Publicado há 6 dias atrás
Trabalho visualizado
Descrição Do Trabalho
We are looking for a strategic and hands-on Chief Financial Officer (CFO) who will drive the company’s financial strategy to achieve breakeven and accelerate growth. This role goes beyond traditional financial management; we need someone who can develop a strategy, monitor KPIs, and provide actionable insights to optimize operations. The CFO will be responsible for securing financing, leading M&A efforts, and acting as the main point of contact with investors. This role requires a strong command of Excel and Business Plan (BP) development.
KEY RESPONSIBILITIES:
- Lead and execute financial strategies to drive operational efficiency and help the company move toward breakeven.
- Oversee daily financial operations, including managing cash flow and complex accounting processes.
- Improve financial reporting to accurately reflect the company’s unique value and growth potential.
KPI Monitoring & Reporting:
- Establish, monitor, and report on key financial KPIs to track the company’s financial health and operational efficiency.
- Provide strategic financial insights and regular reports to the executive team and the board of directors.
Financing & Investor Relations:
- Secure hardware financing by negotiating with multiple banks and financial partners.
- Lead the company’s capital-raising efforts, including equity and debt financing.
- Build and maintain strong relationships with investors, including taking the lead in defending the company’s position during negotiations.
- Actively engage in M&A opportunities to align with the company’s strategic objectives.
- Prepare financial models, investor presentations, and ensure transparent communication with investors.
Operational Support:
- Work closely with other departments to ensure financial strategies are aligned with operational goals.
- Provide financial leadership in all major business decisions, ensuring that financial considerations are integrated into company strategy.
QUALIFICATIONS:
- Proven experience as a CFO or in a similar financial leadership role in high-growth environments, preferably in startups.
- Strong skills in Excel and Business Plan (BP) development.
- Demonstrated ability to secure financing, lead investor relations, and negotiate with financial institutions.
- Experience in M&A, capital raising, and developing financial strategies to support business growth.
- Bachelor’s degree in Finance, Accounting, or related field; MBA or CPA preferred.
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Sobre o mais recente Cfo Empregos em São Paulo !
Mercado Financeiro – Chief Financial Officer (CFO) – Agrosmart – Remoto
Publicado há 6 dias atrás
Trabalho visualizado
Descrição Do Trabalho
We are looking for a strategic and hands-on Chief Financial Officer (CFO) who will drive the company’s financial strategy to achieve breakeven and accelerate growth. This role goes beyond traditional financial management; we need someone who can develop a strategy, monitor KPIs, and provide actionable insights to optimize operations. The CFO will be responsible for securing financing, leading M&A efforts, and acting as the main point of contact with investors. This role requires a strong command of Excel and Business Plan (BP) development.
KEY RESPONSIBILITIES:
- Lead and execute financial strategies to drive operational efficiency and help the company move toward breakeven.
- Oversee daily financial operations, including managing cash flow and complex accounting processes.
- Improve financial reporting to accurately reflect the company’s unique value and growth potential.
KPI Monitoring & Reporting:
- Establish, monitor, and report on key financial KPIs to track the company’s financial health and operational efficiency.
- Provide strategic financial insights and regular reports to the executive team and the board of directors.
Financing & Investor Relations:
- Secure hardware financing by negotiating with multiple banks and financial partners.
- Lead the company’s capital-raising efforts, including equity and debt financing.
- Build and maintain strong relationships with investors, including taking the lead in defending the company’s position during negotiations.
- Actively engage in M&A opportunities to align with the company’s strategic objectives.
- Prepare financial models, investor presentations, and ensure transparent communication with investors.
Operational Support:
- Work closely with other departments to ensure financial strategies are aligned with operational goals.
- Provide financial leadership in all major business decisions, ensuring that financial considerations are integrated into company strategy.
QUALIFICATIONS:
- Proven experience as a CFO or in a similar financial leadership role in high-growth environments, preferably in startups.
- Strong skills in Excel and Business Plan (BP) development.
- Demonstrated ability to secure financing, lead investor relations, and negotiate with financial institutions.
- Experience in M&A, capital raising, and developing financial strategies to support business growth.
- Bachelor’s degree in Finance, Accounting, or related field; MBA or CPA preferred.
Mercado Financeiro – Chief Financial Officer (CFO) – Agrosmart – Remoto
Publicado há 6 dias atrás
Trabalho visualizado
Descrição Do Trabalho
We are looking for a strategic and hands-on Chief Financial Officer (CFO) who will drive the company’s financial strategy to achieve breakeven and accelerate growth. This role goes beyond traditional financial management; we need someone who can develop a strategy, monitor KPIs, and provide actionable insights to optimize operations. The CFO will be responsible for securing financing, leading M&A efforts, and acting as the main point of contact with investors. This role requires a strong command of Excel and Business Plan (BP) development.
KEY RESPONSIBILITIES:
- Lead and execute financial strategies to drive operational efficiency and help the company move toward breakeven.
- Oversee daily financial operations, including managing cash flow and complex accounting processes.
- Improve financial reporting to accurately reflect the company’s unique value and growth potential.
KPI Monitoring & Reporting:
- Establish, monitor, and report on key financial KPIs to track the company’s financial health and operational efficiency.
- Provide strategic financial insights and regular reports to the executive team and the board of directors.
Financing & Investor Relations:
- Secure hardware financing by negotiating with multiple banks and financial partners.
- Lead the company’s capital-raising efforts, including equity and debt financing.
- Build and maintain strong relationships with investors, including taking the lead in defending the company’s position during negotiations.
- Actively engage in M&A opportunities to align with the company’s strategic objectives.
- Prepare financial models, investor presentations, and ensure transparent communication with investors.
Operational Support:
- Work closely with other departments to ensure financial strategies are aligned with operational goals.
- Provide financial leadership in all major business decisions, ensuring that financial considerations are integrated into company strategy.
QUALIFICATIONS:
- Proven experience as a CFO or in a similar financial leadership role in high-growth environments, preferably in startups.
- Strong skills in Excel and Business Plan (BP) development.
- Demonstrated ability to secure financing, lead investor relations, and negotiate with financial institutions.
- Experience in M&A, capital raising, and developing financial strategies to support business growth.
- Bachelor’s degree in Finance, Accounting, or related field; MBA or CPA preferred.
Mercado Financeiro – Chief Financial Officer (CFO) – Agrosmart – Remoto
Publicado há 6 dias atrás
Trabalho visualizado
Descrição Do Trabalho
We are looking for a strategic and hands-on Chief Financial Officer (CFO) who will drive the company’s financial strategy to achieve breakeven and accelerate growth. This role goes beyond traditional financial management; we need someone who can develop a strategy, monitor KPIs, and provide actionable insights to optimize operations. The CFO will be responsible for securing financing, leading M&A efforts, and acting as the main point of contact with investors. This role requires a strong command of Excel and Business Plan (BP) development.
KEY RESPONSIBILITIES:
- Lead and execute financial strategies to drive operational efficiency and help the company move toward breakeven.
- Oversee daily financial operations, including managing cash flow and complex accounting processes.
- Improve financial reporting to accurately reflect the company’s unique value and growth potential.
KPI Monitoring & Reporting:
- Establish, monitor, and report on key financial KPIs to track the company’s financial health and operational efficiency.
- Provide strategic financial insights and regular reports to the executive team and the board of directors.
Financing & Investor Relations:
- Secure hardware financing by negotiating with multiple banks and financial partners.
- Lead the company’s capital-raising efforts, including equity and debt financing.
- Build and maintain strong relationships with investors, including taking the lead in defending the company’s position during negotiations.
- Actively engage in M&A opportunities to align with the company’s strategic objectives.
- Prepare financial models, investor presentations, and ensure transparent communication with investors.
Operational Support:
- Work closely with other departments to ensure financial strategies are aligned with operational goals.
- Provide financial leadership in all major business decisions, ensuring that financial considerations are integrated into company strategy.
QUALIFICATIONS:
- Proven experience as a CFO or in a similar financial leadership role in high-growth environments, preferably in startups.
- Strong skills in Excel and Business Plan (BP) development.
- Demonstrated ability to secure financing, lead investor relations, and negotiate with financial institutions.
- Experience in M&A, capital raising, and developing financial strategies to support business growth.
- Bachelor’s degree in Finance, Accounting, or related field; MBA or CPA preferred.