Finance Manager: Cash Flow & Growth Operator

SARELLY

Ciudad de México

Presencial

MXN 550.000 - 900.000

Jornada completa

Hace 2 días
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Descripción de la vacante

SARELLY in Mexico City is seeking a hands-on Finance Manager to own daily finance operations and partner with the founders to scale the business across Mexico and the United States, spanning DTC, ecommerce, wholesale and retail.

You will manage cash, liquidity, budgeting, forecasting, P&L by entity and channel, and drive improvements in systems, data and processes, while working closely with CFO, cross‑functional teams and external partners.

Formación

  • 3-5+ years in FP&A, commercial finance or financial ops.
  • Experience in consumer/beauty/retail/ecommerce multi-channel.
  • Strong cash forecasting, P&L, planning, working capital.
  • Bilingual English and Spanish; hands-on, operational.

Responsabilidades

  • Build 13-week cash flow forecast and liquidity view.
  • Manage budgeting, forecasting, variance analysis.
  • Deliver monthly reporting and business reviews.
  • Partner with Accounting on tax and compliance.
  • Improve data, ERP/BI flows and processes.

Conocimientos

FP&A
Commercial finance
Cash forecasting
Unit economics
Multi-entity experience
Analytical
Communication

Herramientas

ERP systems
BI tools

Descripción del empleo

SARELLY in Mexico City is seeking a hands-on Finance Manager to own daily finance operations and partner with the founders to scale the business across Mexico and the United States, spanning DTC, ecommerce, wholesale and retail.

You will manage cash, liquidity, budgeting, forecasting, P&L by entity and channel, and drive improvements in systems, data and processes, while working closely with CFO, cross‑functional teams and external partners.

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