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Head of FP&A

Sinch
Full-time
On-site
São Paulo, Sao Paulo, Brazil
Accounting
Description

Responsibilities 

Financial Analysis and Reporting: 

  • Direct the preparation of timely, accurate, and insightful management reports (e.g., Monthly/Quarterly Business Review packages) for the Senior Leadership Team in LatAm 

  • Conduct in-depth variance analysis on financial performance (Actuals vs. Budget/Forecast/Prior Year), identifying key trends, opportunities, and risks, and clearly articulating the 'story behind the numbers.' 

  • Own and manage the reporting of Key Performance Indicators (KPIs), ensuring metrics are relevant and drive accountability across the organization. 

  • Collaborate with the Accounting and Controllership teams to ensure accurate financial data consolidation and reporting in compliance with local BR GAAP and international standards (e.g., IFRS/US GAAP, if applicable). 

  • Prepare compelling financial presentations and reports for executive leadership, and other stakeholders 

 

Strategic Planning, Budgeting, and Forecasting: 

  • Lead the comprehensive annual planning (Budget) and long-range planning (LRP) processes for Latin America, primarily in Brazil, Mexico, and Colombia, ensuring alignment with corporate strategic goals. 

  • Manage the quarterly financial forecasting process, incorporating business drivers, market trends, and operational changes to ensure high accuracy and predictability. 

  • Develop complex financial models (e.g., scenario analysis, sensitivity analysis) to evaluate new business initiatives, and strategic projects. 

 

Business Partnering and Stakeholder Management: 

  • Act as the primary finance partner to the General Manager - LatAm and other functional leaders (Sales, Marketing, Operations), providing financial advice and challenging assumptions. 

  • Present financial results, forecasts, and strategic recommendations clearly and persuasively to executive management. 

  • Drive continuous improvement in cost management and resource allocation, recommending actions to optimize profitability and operational efficiency. 

 

Team Leadership and Development: 

  • Manage, coach, mentor, and motivate a team of FP&A professionals, fostering a culture of high performance, analytical rigor, and professional growth. 

  • Define team goals, allocate resources efficiently, and manage workflows to ensure all deliverables are met accurately and on time. 

  • Lead efforts to streamline and automate FP&A processes and systems to improve efficiency and data integrity. 

 

Requirements 

  • Bachelor's degree in Finance, Accounting, Economics, or a related field. MBA degree highly desirable. 

  • 10+ years of progressive experience in financial planning and analysis (FP&A), public accounting, investment banking, or private equity; with a strong focus on operational expenses, and preferably with a large multinational corporation. 

  • A minimum of 3+ years of experience managing a team of financial professionals. 

  • Experience with financial planning and reporting software (Anaplan, AARO), ERP systems, CRM systems (Salesforce), and Visual Reporting (Tableau) highly preferred. 

  • Exceptional analytical, problem-solving, and critical thinking skills 

  • Proven ability to synthesize complex financial data into clear and concise insights for non-financial stakeholders.  

  • Excellent communication (written and verbal) and interpersonal skills, with the ability to build strong relationships across the organization.  

  • Highly organized with strong attention to detail and ability to manage multiple priorities in a fast-paced environment.  

  • Previous experience in finance within a technology or telecommunications environment would be advantageous 

  • Fluency in English (verbal and written) is required for effective communication with international leadership.

  • Fluency in Spanish desirable but not required. 



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