Financial professional focused on corporate finance, treasury and financial planning and analysis, leading projects in large national and multinational companies.Experienced in tasks and results management, automating processes, controlling and forecasting cash flow, budgeting, income statement (P&L), balance sheet management, mergers and acquisitions (M&A), accounts payables and receivables along with management reports to support strategic decision-making.Highly capable of managing cash, foreign exchange, contracts, cost controlling, monthly closing, financial statement analysis and budget targets reports and consolidation.Good relationship with banks and financial institutions, being able to negotiate loans and financing, bonds and guarantees, hedging and general investments.Develops policies, processes and tools focused on control, standardization and optimization of resources and aligns global policies to local standards.Active participation in meetings with the board and corporate headquarters to present new projects, KPIs and results.Strong interface with departments such as sales, projects, supply chain, legal, tax, human resources, as well as suppliers and customers.Management of multidisciplinary teams focused on high performance and people development, aligning strategies, sharing decisions and adjusting processes for implementation with a focus on excellence, customer satisfaction and financial sustainability.