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Senior Financial Specialist - Cashflow

Baubap

Baubap

Accounting & Finance
Mexico
Posted on Feb 4, 2026

The mission:

Own and continuously improve Baubap’s end-to-end cash flow and short-term liquidity management, ensuring high-quality forecasting, disciplined liquidity control, and reliable visibility into operating cash needs.

The role is accountable for producing and maintaining a rolling 13-week cash forecast (updated weekly) and a 3-month liquidity view, coordinating with functional leaders on cash requirements and timing, and monitoring OPEX forecasting and spend variance with clear root-cause explanations and corrective actions when deviations occur.

The expected outcome:

  • Rolling 3-month cash flow and liquidity forecast.
  • Daily cash position view plus key upcoming payments
  • Monthly OPEX cash tracking and variance drivers.
  • Weekly forecast vs. actual variance pack (amount, timing, top drivers, actions).
  • Liquidity status updates and risk alerts.
  • Recommendations to manage short-term liquidity constraints.
  • Accuracy of short-term cash flow forecasts.
  • Variance discipline through root-cause documentation of variances above threshold + action.
  • No unanticipated liquidity shortfalls within the three-month horizon.
  • Timely coordination with teams on OPEX and cash needs.
  • Proactive identification and escalation of liquidity risks.

Requirements:

  • 4+ years of experience in FP&A, Treasury, Corporate Finance, or Strategic Finance with direct ownership of cash forecasting and liquidity monitoring.
  • Proven track record building and operating a rolling cash forecast across multiple entities and bank accounts.
  • Experience managing cash visibility in complex structures (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 working knowledge of cash mechanics: payment calendars, cutoffs, settlement timing, reconciliation, and cash controls.
  • Ability to translate business drivers (disbursements, collections, OPEX timing) into cash impacts and to reconcile forecast vs actuals with clear drivers.
  • Comfortable working with data sources (banking platforms, ERPs, BI tools) and partnering with Data/Engineering on integrations and dashboards.
  • Familiarity with SQL/BI (Looker/Tableau/PowerBI) is a plus, not a must

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