Giovanni Zamora Chaves
Jefe de tesorería @ Grupo Coquecol
About
Finance Professional with post grade in Financial Management and over 10 years of outstanding experience in Treasury. My passion for financial management and resource control has driven my career, enabling me to play a key role in the success and sustainability of various organizations. Throughout my journey, I have actively participated in the implementation of leading ERP systems such as SAP, Netsuite, and Kiryba. These experiences have provided me with a deep understanding of integrating advanced technologies to optimize financial management and enhance operational efficiency. My ability to make informed financial decisions, coupled with an analytical and results-driven mindset, has been instrumental in identifying improvement opportunities in financial processes and maximizing profitability. I am committed to staying updated with the latest trends and practices in the financial industry to ensure resources are used strategically and responsibly.
Colombia
Bogota
Electrical & Electronic Manufacturing
Inglés, Microsoft Dynamics, Gestión de flujo de efectivo, Análisis de flujo de efectivo, Gestión contable, Gestión de caja, Operaciones con divisas, Derivados de divisas, Bookings, Microsoft Power BI, Financial Modeling, Bloomberg, Mercado de capitales, Análisis de mercados, Macros, Project Management, Statutory Accounting Principles (SAP), Microsoft PowerPoint, SAP FICO, Shared Service Center
Experience

Treasurer
Beat
Colombia
• Forecast de flujos de caja • Calculo flujo de caja libre • Reportes casa matriz • Responsable del cierre contable de la tesorería • Responsable de la liquidez del negocio • Relaciones con bancos • Liquidación de la empresa (Cierre del negocio)

Treasurer
Bogotá, Bogotá D.C., Colombia
• Forecast de flujos de caja • Reportes casa matriz • Responsable de la liquidez del negocio • Relaciones con bancos • Valoración del negocio • Elaboración de presupuesto • FP&A • Cierre contable • Lider implementación SAP y NETSUITE (Modulos de tesorería)

Jefe de gestión de liquidez
• Conciliación y proyección de flujos de caja • Reportes a VP financiera • Responsable de la liquidez del negocio • Relaciones con bancos • Rolling forecast • Elaboración de presupuesto • FP&A • Cierre contable • Reestructuración de la deuda

Senior de Tesoreria
Elaboración y proyección de flujos de caja (Ecuador, Haití, Guatemala, Salvador, Costa Rica, Jamaica •Consolidación de flujos de caja de las • diferentes países • Responsable del fideicomiso (Ecuador) • Consolidación de procesos en el share service center • Creación de póliticas y procedimientos • Implementación de Kiryba

Tesorero
Recaudo Bogota SAS
Bogotá

Treasury Analyst
Ci Grodco S en CA

Asistente Financiero
Icl sas
Giovanni Zamora Chaves's Contact Information
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