Global E-commerce CashFlow Analyst
Job Category: Finance & Accounting Operations
Job Type: Full Time
Job Location: BGC Taguig DD Pasay
Job Details
Job type: Full-time
Shift and schedule: Shift system
Location: Pasay City, Metro Manila
Job Description
Industry/Field: Global E-commerce
Job Summary:
We seek a senior-level candidate with at least 5 years of relevant experience in global e-commerce cashflows and CFO-level services.
Key Responsibilities:
Weekly Tasks:
- Use existing Xero and My Real Profit (MRP) data to update and monitor cash flow reports, ensuring accurate financial positions.
- Analyze weekly advertising spend data from Amazon and Meta to calculate ROI and its impact on cash flow.
- Manage cash flow across multiple currencies, ensuring accurate reconciliation of exchange rates.
- Identify short-term cash flow trends and highlight opportunities or risks to leadership.
- Generate short-term cash flow forecasts aligned with operational needs. and organize all vendor information to ensure compliance with financial policies.
Monthly Tasks:
- Prepare and deliver detailed cash flow summaries and forecasts for monthly budgets.
- Conduct variance analysis comparing actual vs. forecasted data and provide actionable recommendations.
- Develop and present cash flow scenarios based on advertising performance, sales trends, and inventory planning.
- Track and report on international financial transactions, including foreign exchange gains/losses and risk mitigation strategies.
- Work closely with leadership to refine financial KPIs and strategic financial tracking. accounts receivable data stored on Google Drive, ensuring accessibility and organization.
Yearly Tasks:
- Create and present long-term cash flow forecasts and financial models using historical data and business growth projections.
- Develop aggressive yet realistic financial plans to support business expansion, advertising scale-ups, inventory investments, and multi-currency cash flow strategies.
- Collaborate with leadership to set annual financial goals and strategies.
- Conduct profitability assessments and identify cost-saving opportunities.
- Review yearly cash flow trends (performance by currency and region) and provide strategic recommendations to improve financial health.
- Facilitate the creation of an annual budget and maintain a master budget file.
- Provide automated financial reporting and relevant KPI tracking.
- Generate a 13-week cash flow projection and facilitate forecast updates.
Primary Expectations:
- The ideal candidate already possesses CFO-level expertise.
- Must be highly autonomous and capable of delivering high-quality financial reports and forecasts with minimal supervision.
- Must create actionable, forward-thinking cash flow forecasts that drive business growth while handling complex worldwide operations.
- Must have experience in managing foreign exchange transactions and mitigating multi-currency risks.
Additional Preferences:
- Strong verbal and written communication skills to effectively present financial insights and strategies.
- Familiarity with “My Real Profit” software (preferred but not required).
Required Skills:
- Expertise in Xero and QuickBooks with a minimum of 5 years of experience.
- Advanced knowledge of cash flow forecasting, management, and strategic financial planning.
- Strong skills in analyzing pre-existing financial data and generating actionable insights.
- Experience in building and maintaining detailed financial models and scenario-based cash flow forecasts.
- Proven ability to handle worldwide cash flow operations, including managing and reconciling multiple currencies.
- Familiarity with financial workflows in advertising platforms (Amazon, Meta) and inventory cost optimization.
- Proven ability to create realistic yet aggressive cash flow forecasts aligned with business growth strategies.
- Experience managing foreign exchange transactions and mitigating risks related to multi-currency operations.
- Ability to set up automated financial reporting.
- Ability to deliver financial reporting packages with relevant KPIs.
- Experience in facilitating annual budget creation and maintaining a master budget file.
- Ability to facilitate periodic forecast updates.
- Experience in creating a 13-week cash flow projection.
- We are seeking talented individuals who can adapt to Rosso Caffe’s evolving needs and demonstrate flexibility and expertise in alignment with the job description.
Education/Certifications (Preferred but not Required):
- Degree in Accounting, Finance, Business Administration, or a related field.
- Certifications in Xero, QuickBooks, or CFO-related courses.