Cfo - Chief Financial Officer
7 meses atrás
**Descrição**:
Liderar a estratégia financeira, promovendo a eficiência operacional e a maximização do retorno sobre o investimento (ROI), abrangendo todas as áreas financeiras da organização.
- Realizar mensalmente análises financeiras aprofundadas para identificar oportunidades de melhoria e otimização de recursos, fornecendo insights estratégicos para a tomada de decisão pela diretoria.
- Desenvolver estratégias anuais de planejamento financeiro e orçamentário para orientar investimentos, alocação de recursos e maximização do ROI.
- Desenvolver e implementar políticas e procedimentos financeiros para garantir o cumprimento das regulamentações e otimizar a eficiência operacional, revisando-os trimestralmente.
- Monitorar constantemente os investimentos em estoque e identificar oportunidades de melhorias para maximizar o retorno sobre esses investimentos.
- Utilizar a inteligência de dados para analisar o retorno sobre cada real investido em ações da empresa, propondo estratégias que aumentem a eficiência e a rentabilidade.
- Conduzir análises de viabilidade de investimentos e projetos, avaliando riscos e retornos, e apresentando recomendações à diretoria a cada trimestre.
- Gerir o orçamento da empresa, monitorando o desempenho financeiro em relação às metas estabelecidas e fazendo ajustes conforme necessário, em revisões mensais.
- Estabelecer e manter relacionamentos sólidos com instituições financeiras, negociando linhas de crédito e condições bancárias favoráveis, revisando anualmente.
- Supervisionar o processo de auditoria interna e externa, garantindo a conformidade com os padrões contábeis e regulamentações vigentes, revisando semestralmente.
- Avaliar e mitigar os riscos financeiros da empresa, implementando controles internos eficazes e revisando-os trimestralmente.
- Liderar e desenvolver a equipe financeira, promovendo um ambiente de trabalho colaborativo e capacitando os membros da equipe por meio de treinamentos regulares.
- Gerir os pagamentos e encontros de contas com os fornecedores
- Gerir, acompanhar e definir estratégias do caixa futuro da companhia (Saber se quando se faz um pedido, quanto vai ter em caixa em 4 meses para fazer os pagamentos necessários
**Requisitos**:
- Experiências em indústrias e/ou empresas multinacionais.
- Graduação em Administração, Contábeis e correlatas.
**DESEJÁVEL**
- Conhecimento básico no ERP Sankhya.
- Pós Graduação/MBA em Controladoria.
**Benefícios**:
Assistência médica, Assistência odontológica, Benefícios Internos, Bônus por resultado, Gympass, Informado na entrevista, Kit Maternidade, Plano de Carreira
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