Finance Analyst - Remote

Co, Llp

Buenos Aires

A distancia

ARS 1.200.000 - 2.000.000

Jornada completa

hace 48 horas
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Ventajas ofrecidas por este puesto de trabajo

100% remote position
Schedule: 8:00 AM – 5:00 PM CST
Bonuses and growth opportunities based
Statutory benefits as required by law

Descripción de la vacante

Co, Llp is seeking a treasury-focused finance professional for a 100% remote role. You will own daily cash management, forecasting, vendor contracts, and internal approval workflows, collaborating with Accounting and Procurement.

You will build cash flow models, monitor bank accounts, manage vendor data, and drive automation to reduce manual inputs. A 1–3 year background in finance or treasury plus advanced Excel and English is required.

Formación

  • 1–3 years in finance, treasury, or procurement/purchasing (Financial Analyst or similar)
  • Bachelor's in Finance, Accounting, or Business Administration
  • Advanced Excel skills
  • Advanced English
  • Stable career history and willingness to learn and grow
  • ERP experience is a plus

Responsabilidades

  • Own end-to-end daily cash management and forecasting
  • Build, maintain and update short- and long-term cash flow forecasting models
  • Monitor bank accounts, track cash positioning and perform daily treasury variance analysis
  • Manage the lifecycle of vendor contracts, including renewals and terminations
  • Coordinate internal procurement approval workflows across departments
  • Maintain the centralized vendor and contract database, tracking upcoming renewals and commitments
  • Extract, validate and reconcile treasury and procurement data using financial systems
  • Use advanced Excel to streamline cash reporting and procurement tracking
  • Drive process improvements and automation to reduce manual input and data errors

Conocimientos

Advanced Excel
Cash flow management
Finance/Accounting knowledge
English proficiency
ERP experience

Educación

Bachelor's degree in Finance/Accounting/Business Administration

Herramientas

ERP systems

Descripción del empleo

Our client is a global software company that helps organizations manage risk, compliance and governance. They are growing their Finance team and looking for someone with an excellent attitude and a strong willingness to learn.

About the role

This is a treasury-focused role with procurement responsibilities. You will own daily cash management and forecasting, and manage vendor contracts and internal approval workflows. You will work closely with Accounting, Procurement and business stakeholders.

What you'll do
  • Own end-to-end daily cash management and tracking
  • Build, maintain and update short- and long-term cash flow forecasting models
  • Monitor bank accounts, track cash positioning and perform daily treasury variance analysis
  • Manage the lifecycle of vendor contracts, including renewals and terminations
  • Coordinate internal procurement approval workflows across departments
  • Maintain the centralized vendor and contract database, tracking upcoming renewals and commitments
  • Extract, validate and reconcile treasury and procurement data using financial systems
  • Use advanced Excel to streamline cash reporting and procurement tracking
  • Drive process improvements and automation to reduce manual input and data errors
What we're looking for
  • 1–3 years of experience in a finance, treasury or procurement/purchasing role (Financial Analyst or similar preferred)
  • Bachelor's degree in Finance, Accounting, Business Administration or a related field (preferred)
  • Advanced Excel skills
  • Solid understanding of cash flows
  • Advanced English
  • A stable career history and a strong willingness to learn and grow
  • Experience with ERP systems is a plus, but not required
What we offer
  • 100% remote position
  • Schedule: 8:00 AM – 5:00 PM CST
  • Statutory benefits as required by law, through an Employer of Record
  • Bonuses and growth opportunities based on performance
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