Corporate Finance Manager (México)

Corporate Finance Manager (México)

04 ago
|
Pavago
|
México

04 ago

Pavago

México

Corporate Finance Manager (FP&A;, Strategic Finance & Financial Planning)

Full-Time Remote | U.S. Business Hours

About the Role

We’re hiring a highly analytical and strategic Corporate Finance Manager to lead financial planning, forecasting, budgeting, and executive financial analysis for a growing business.

This is not a transactional accounting role.

You will play a critical role in:

- driving financial strategy,
- building executive-level reporting,
- supporting investment decisions,
- improving forecasting accuracy,
- and helping leadership make data-driven business decisions.

This role combines:

- FP&A;,
- strategic finance,
- treasury oversight,
- financial modeling,
- and executive communication.

You’ll work closely with leadership across operations, sales, and product teams while helping scale financial systems and processes in a fast-moving environment.

What You’ll OwnFinancial Planning & Forecasting

- Lead annual budgeting and quarterly forecasting cycles
- Build and maintain rolling forecasts for revenue, expenses, and cash flow
- Partner with department leaders to align financial plans with business goals
- Improve forecasting accuracy and reporting visibility
- Support long-term strategic planning initiatives

Financial Modeling & Strategic Analysis

- Build advanced financial models for:
- - DCF analysis
- ROI modeling
- IRR calculations
- scenario planning
- investment decisions

- Conduct sensitivity and variance analysis
- Support strategic initiatives through data-driven recommendations
- Evaluate operational and financial performance trends

Executive Reporting & Business Insights

- Prepare:
- - monthly financial packages
- KPI dashboards
- executive summaries
- board presentations

- Deliver clear variance commentary and performance insights
- Translate financial data into actionable recommendations for leadership
- Support investor and stakeholder reporting initiatives

Treasury & Cash Flow Management

- Monitor:
- - liquidity,
- working capital,
- and cash flow performance





- Support debt covenant tracking and banking relationships
- Assist with treasury planning and capital allocation decisions
- Improve financial visibility and operational forecasting

Cross-Functional Collaboration

- Partner with:
- - operations,
- sales,
- product,
- and leadership teams

- Align business initiatives with financial objectives
- Support pricing, investment, and growth-related decisions
- Contribute to operational and strategic planning conversations

Team Leadership & Process Improvement

- Mentor and support junior finance and FP&A; team members
- Improve reporting workflows and financial processes
- Support ERP optimization and reporting automation initiatives
- Strengthen financial controls and reporting accuracy

✅ Required Experience & Skills

- 5+ years of experience in:
- - corporate finance,
- FP&A;,
- investment banking,
- or strategic finance

- Advanced financial modeling expertise:
- - DCF
- NPV
- IRR
- scenario analysis
- forecasting models

- Strong Excel and/or Google Sheets skills
- Experience with ERP systems such as:
- - NetSuite
- SAP
- Oracle

- Strong executive-level presentation and communication skills
- Bachelor’s degree in:
- - Finance
- Accounting
- Economics
- or related field

- Preferred Qualifications

- CFA, CPA, or MBA
- Experience supporting:
- - M&A; transactions
- due diligence
- capital raising
- investor relations

- Familiarity with BI tools:
- - Power BI
- Tableau
- Looker

- Experience in:
- - SaaS
- professional services
- high-growth companies

What Makes You a Strong Fit

- You think strategically while maintaining financial accuracy




- You can communicate complex financial insights clearly
- You are highly analytical and detail-oriented
- You are comfortable presenting to executives and leadership teams
- You enjoy building scalable financial systems and processes
- You thrive in fast-paced, evolving business environments

What a Typical Day Looks Like

- Review forecast updates and operational performance metrics
- Update financial models and scenario analyses
- Prepare executive reporting and KPI dashboards
- Partner with department leaders on budgeting and planning
- Analyze cash flow and liquidity trends
- Support strategic finance initiatives and investment decisions
- Mentor junior finance team members and improve reporting workflows

In short:
You help leadership understand the financial health of the business, improve decision-making, and drive long-term strategic growth through accurate planning and analysis.

Key Metrics for Success (KPIs)

- Forecast accuracy and reliability
- Timely completion of budgeting and reporting cycles
- Quality of executive reporting and strategic insights
- Cash flow visibility and liquidity management
- Financial model accuracy and decision support effectiveness
- Operational efficiency improvements within FP&A; processes

Why This Role Stands Out

- Direct exposure to executive leadership and strategic decision-making
- High-impact role influencing company growth and financial direction
- Opportunity to work across FP&A;, treasury, and strategic finance
- Leadership and mentoring responsibilities
- Exposure to board-level reporting and investment analysis
- Remote flexibility with strong career growth potential

Interview Process

- Initial Screening
- Recruiter Interview
- Client Interview
- Offer & Onboarding

Apply Now

If you:

- enjoy financial modeling and strategic analysis,
- thrive in FP&A; and corporate finance environments,
- can translate numbers into business insights,
- and want to play a key role in executive decision-making,

this role is a strong fit for you.

📌 Corporate Finance Manager (México)
🏢 Pavago
📍 México

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