We are seeking a highly analytical, organized, and hands-on professional with strong leadership skills to coordinate the areas of Treasury, Accounts Payable, Accounts Receivable, and Credit. This is a strategic position with a structured career path toward a Finance Manager role within up to 18 months, based on performance.
Key Responsibilities
Treasury
- Prepare and monitor daily, weekly, and projected cash flow;
- Manage bank accounts, balances, reconciliations, and financial investments;
- Plan fund transfers between SPVs (SPEs) and partners;
- Support Controllership with monthly close and cash flow projections;
Ensure banking security, proper segregation of duties, and approval levels.
Accounts Payable
- Coordinate the full payment cycle (review, approval, and execution);
- Ensure accurate posting of invoices, tax withholdings, and cost centers;
- Implement and maintain payment policies;
- Control due dates for contracts, insurance policies, and recurring expenses;
- Monitor advances, corporate credit cards, and payment exceptions;
Support financial automation initiatives and accounting integration.
Accounts Receivable & Collections
- Coordinate billing (rent, charges, fees, and services);
- Monitor delinquency, aging reports, collections, and postings in the ERP;
- Implement preventive and corrective collection policies;
- Support negotiations with customers and legal teams when required;
Develop management reports by property / project.
Credit
- Implement and continuously review the company's credit policy;
- Perform customer financial and credit analysis;
- Classify customers according to risk levels;
- Monitor delinquency indicators and credit performance;
Train commercial and operational teams on credit rules and processes.
Management & Strategy
- Develop financial dashboards and performance indicators;
- Lead continuous improvement and automation projects;
- Act as the financial interface with partners, funds, and investors;
- Conduct performance evaluations, develop successors, and build future leaders;
Act strategically alongside Controllership and Executive Management.
Requirements
- Bachelor's degree in Business Administration, Accounting, Economics, or related fields;
- Solid experience in Treasury, Accounts Payable, Accounts Receivable, and Credit;
- Experience working with financial ERP systems;
- Strong analytical, organizational, and communication skills;
- Leadership profile with autonomy and strategic mindset;
English proficiency is a plus (reading and speaking).
Preferred Qualifications
- Experience in the real estate sector;
- Experience managing financial flows between SPVs (SPEs);
- Proven experience implementing financial automation;
What We Offer
- Clear and structured career path toward a Finance Manager position;
- Strong technical and strategic development environment;
- Direct exposure to business financial decision-making.