Core Responsibilities

The role involves developing and maintaining robust financial models to support internal planning and investor communications, while also assisting with annual budgeting and quarterly forecasting processes across regional teams. Responsibilities include collaborating on the 5-year financial projection, analyzing financial performance to derive actionable insights, and ensuring the accuracy and consistency of all financial deliverables.

Requirements

Candidates should possess a university degree in Administration, Economics, Engineering, Finance, or related fields, coupled with 1 to 2 years of experience in investment banking, strategic consulting, or corporate finance. Essential requirements include advanced proficiency in Excel/Google Sheets, strong communication skills, an analytical mindset, and intermediate-to-advanced English proficiency.

Additional Information

Experience Level

0-2

Job Language

Spanish/English (Bilingual requirement)

Work Mode

On-site