Job Description Summary
As the Cash Flow Leader for the Hydro business, you serve as the central point of expertise for all cash-related activities. Key activities includes providing critical analytical and strategic support to ensure the financial health of the business by driving accurate pacing, forecasting, and liquidity management. You act as a key partner to global operational teams, translating project and regional performance into cohesive, business-wide cash insights.
Job Description
Essential Responsibilities:
- Serve as the central point of expertise for all cash-related activities within the Hydro business unit.
- Ensure the organization’s financial health by executing precise liquidity and working capital management.
- Manage the pacing process and develop rigorous financial forecasts to ensure clear visibility into future performance.
- Provide critical analytical support to drive executive decision-making and mitigate financial risks.
- Act as a key strategic partner to global operational teams, facilitating communication and financial integration.
- Translate complex regional and project performance indicators into cohesive cash insights for the entire business.
- Consolidate financial information to support strategic planning and ensure the financial sustainability of the Hydro business.
Required Qualification:
- Bachelor Degree in Economics or correlated field;
- Solid experience in FP&A, Controllership and Cash;
- Knowledge in Excel, Smartsheet, SAP;
- English and Portuguese fluency;
- Spanish desirable;
Additional Information
Relocation Assistance Provided: No