
Senior Financial Planning & Liquidity Specialist
The mission:
Own and operate Baubap’s cash flow and liquidity management while ensuring the integrity, evolution, and continuous improvement of our core financial models.
This role sits within Strategic Finance and combines rigorous short-term liquidity oversight with medium and long-term financial modeling responsibilities. The primary mandate is to ensure disciplined cash visibility, reliable forecasting, and proactive liquidity risk management. In parallel, the role will act as the operational owner of our financial planning infrastructure through maintaining, optimizing, and strengthening the models that support decision-making across margin, OPEX, portfolio performance, and capital planning.
This is a high-responsibility position for someone who combines strong technical modeling skills with operational rigor and continuous improvement mindset.
The expected outcome:
Accurate rolling 3-month cash flow forecast with clear liquidity visibility and risk flags
Daily consolidated cash position across entities and trust structures
Reliable forecast vs actual variance analysis with quantified drivers and corrective actions
Financial models (cash flow, Annual Operating Plan, other operating models) that are consistently updated, structured, and decision-ready
Continuous improvements in forecasting processes, automation, and reporting quality.
Clear executive-ready liquidity updates and financial insights that support strategic decisions
Responsibilities
Cash Flow & Liquidity Ownership
Build, maintain, and operate short and medium-term cash flow forecast across operating entities and trust structures
Ensure daily visibility into cash balances, upcoming obligations, and liquidity headroom
Reconcile forecast vs actual inflows and outflows; explain timing and driver-based variances
Identify projected liquidity constraints early, quantify impacts, and propose mitigation actions
Coordinate with internal stakeholders on payment timing, funding needs, and cash trade-offs
Align forecast assumptions with commercial plans, operating expense plans, and contractual payment obligations; escalate misalignments early.
Financial Model Ownership
Own the maintenance, structure, and reliability of core financial models, including cash flow, Annual Operating Plan, portfolio projections, and related operating models
Ensure models remain aligned with business reality, updated assumptions, and evolving strategy
Improve model architecture, formula integrity, documentation, and version control standards
Conduct scenario and sensitivity analyses to support capital planning, growth initiatives, and risk evaluation
Forecasting Process & OPEX Integration
Track OPEX cash and accrual impact and explain deviations vs plan
Improve forecasting discipline through standardized assumptions, validation checks, and structured review cycles
Support cross-functional teams in understanding the financial implications of operational decisions
Automation & Continuous Improvement
Identify opportunities to streamline and automate reporting, reconciliations, and forecasting workflows
Strengthen data integrations between banking platforms, ERP systems, servicing tools, and financial models
Implement control checks and error-proofing mechanisms to enhance model reliability
Elevate reporting quality and consistency to reduce manual effort and increase decision speed
Ad-Hoc Strategic Analysis
Support analysis across capital markets, product performance, risk dynamics, growth initiatives, and funding structures
Translate operational data into structured financial insights that inform strategic decisions
Requirements:
5+ years of experience in FP&A, Treasury, Corporate Finance, or Strategic Finance with exposure to cash forecasting and financial modeling
Proven track record building and operating rolling cash forecasts and managing liquidity visibility
Strong hands-on experience building and maintaining structured financial models
Experience in complex cash structures is highly valued (e.g. multi-entity setups, trusts/SPVs, restricted vs unrestricted cash)
Technical & Analytical Skills
Advanced Excel/Google Sheets skills (structured modeling, scenario analysis, data validation, error-proofing).
Strong understanding of cash flow mechanics and forecast reconciliation
Ability to translate operational drivers into financial impacts
Comfort working with multiple data sources and collaborating with crossfunctional teams
Familiarity with SQL or BI tools is a plus
Operational & Strategic Mindset
Strong attention to detail and control orientation
Structured thinker with a process-improvement mindset
Ability to operate in ambiguity while maintaining analytical rigor
Strong communication skills to present liquidity insights and financial trade-offs clearly to senior stakeholders
Nice-to-have
Experience in consumer lending / microcredit / BNPL / fintech environments with high-frequency cash cycles (daily collections/disbursements).
Comfort with process design and internal controls (e.g., cash thresholds, payment prioritization rules, approval workflows).
Strong written communication in English for executive-ready reporting (weekly liquidity notes, variance commentary, risk memos).
What we can offer:
Being part of a multicultural, highly driven team of professionals
20 vacation days / year + 75% holiday bonus (Prima Vacacional)
1 month (proportional) of Christmas bonus (Aguinaldo)
Food vouchers
Health & Life insurance
Competitive salary
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