Finance Treasury Analyst
RappiCore Responsibilities
The analyst will be responsible for building and analyzing the cash flow, ensuring projection accuracy, and generating insights to optimize liquidity and operational processes. Key tasks include updating medium and long-term cash flow, analyzing forecast deviations, and developing reports and automations.
Requirements
Candidates should be students or graduates in Finance, Economics, Administration, Accounting, or Industrial Engineering, possessing solid skills in Excel, SQL, and basic knowledge of Python. Essential attributes include analytical capacity, organization, attention to detail, and a process orientation.
Key Skills & Technologies
Additional Information
Experience Level
0-2
Job Language
Spanish
Work Mode
On-site