The role of a financial operations specialist involves managing various accounting tasks on a daily and monthly basis. these include processing journal entries, supporting the month-end close, key account reconciliations, bank reconciliations, and reporting package support. this position reports to the accounting supervisor and is responsible for ensuring timely and accurate financial reporting, as well as compliance with generally accepted accounting principles (gaap-ifrs) and other regulatory requirements. responsibilities - maintain the general ledger by recording transactions, ensuring accuracy and completeness, and reconciling accounts. - assist in preparing financial statements, including balance sheets, income statements, and cash flow statements, ensuring accuracy and completeness. - support the month-end and year-end close processes by preparing journal entries and reconciling accounts. - participate in special projects, such as audits, budgeting, and forecasting, as assigned by management. - respond to inquiries from other departments and external parties regarding accounting-related matters. requirements - bachelor's degree in accounting or related field. - at least 3 years of experience in accounting or finance. - knowledge of gaap and ifrs, as well as other accounting principles and standards. - experience with accounting software is preferred. - proficient in microsoft office, including excel and word. - excellent analytical, problem-solving, and communication skills. benefits - health benefits, including medical, vision, and dental. - training and deve...
Job description: - pursue a career as a financial specialist, handling accounts receivable processes with accuracy and efficiency. - this role involves analyzing data, identifying trends, and proposing solutions to improve payment processing and customer experience. required skills: - advanced excel skills, including pivot tables, v-lookups, and complex formulas. - working knowledge of sap and other erp systems. - excellent communication and problem-solving skills. key responsibilities: - payment application and reconciliation: ensure accurate and timely application of customer payments. - data analysis and reporting: conduct analysis of payment patterns and generate financial reports. - resolution of complex payment discrepancies: proactively resolve payment discrepancies by collaborating with stakeholders. - continuous improvement: suggest changes to policies, workflows, and tools to increase operational efficiency. benefits: - hybrid work model offering flexibility and work-life balance. - opportunities for professional growth and development. about us: - we are an equal opportunities employer, committed to diversity and inclusion....
Our mission we're helping build a sustainable economy where everyone can prosper. we support a wide range of digital payments choices, making transactions secure, simple, smart and accessible. title and summary senior financial analyst we are seeking a key contributor to join the americas financial planning & analysis (fp&a;) team—supporting north america (nam). this will focus on supporting the core payments business. this role serves as the primary finance liaison for financial results, working closely with internal stakeholders to provide insights and explanations related to financial performance. you will be aligned to senior product executives and support strategic and operational decision-making across planning, forecasting, business development, and revenue optimization. as a senior financial analyst, you will act as a strategic business partner to a product segment, engaging directly with both the product team and the broader finance organization to help shape mastercard's core payments product performance, strategy, and long-term financial plan. key responsibilities - serve as the day-to-day finance business partner to a core payments segment within the americas region (nam), working closely with internal product leaders and cross-functional teams. - lead and participate in financial discussions with internal stakeholders during periodic business and financial reviews. - manage operating expenses and contribute to the preparation of quarterly business review (qbr) materials. - produce recurring and ad hoc financial deliverables for product teams, global fi...
Accounting specialist needed in bogota, colombia this role involves working with a variety of finance professionals to ensure the delivery of robust financials. as an accounting specialist, you will be responsible for tasks such as producing monthly reporting, budgets and forecasts. - job description: - analyze prepaid expenses and accruals and prepare monthly journal entries. - enter journals in oracle, ensuring proper supporting documentation is maintained. - prepare input files and upload monthly financial and supplementary data to oracle reporting. - review intercompany matching reports and prepare adjusting entries. - assist with the monthly back log and awards reporting - prepare schedules and analysis for internal and external audits. - lead or assist in special projects and ongoing system improvements. - prepare balance sheet reconciliations using blackline. required skills and qualifications - bachelor's degree in accounting, business, economics or related field required - professional qualifications in accounting (cpa) is preferred. - minimum of 5-7 years experience, ideally in an engineering consultancy firm or oil & gas project environment - experience working with erp systems – oracle erp and oracle reporting epm . - strong numerical and analytical skills, combined with a strong understanding of microsoft excel (pivot tables and v – lookups) - excellent time-management skills, to be able to meet month end reporting deadlines - self-motivated with ability to work independently as well as with a variety of professionals in a team environment - strong communic...
Foreign exchange trader - colombia & latin america job summary: we are currently searching for a seasoned professional to help us navigate the complexities of foreign exchange markets in colombia and latin america. the ideal candidate will have extensive experience in fx trading, with a proven track record of executing spot and forward trades, managing currency flows and exposures, and providing expert guidance to revenue managers. this is an exciting opportunity for a talented individual to join our team and contribute to our success. - execute daily spot and forward fx trades. - manage guatemalan and other america's currency flows and exposures as needed. - provide information and guidance to revenue managers. - negotiate foreign exchange rates with partners, developing strong relationships. - create daily reports on trading activities, currency positions, currency analysis, etc. - generate and implement long-term trade ideas / hedge strategies. required skills and qualifications: - bachelor's degree in finance, economics, business administration, or a related field. - at least 3+ years of active trading experience in foreign exchange markets. - must be bilingual in english and spanish. - strong quantitative skills. - excellent oral and written communication skills, as well as demonstrated presentation abilities. - knowledge of bloomberg, trading platforms, and microsoft office 365. benefits: - competitive salary and benefits package. - opportunities for career growth and professional development. - a dynamic and supportive work environment. join our team and tak...
As a key member of our financial operations team, you will be responsible for ensuring the smooth flow of financial transactions. this role requires strong analytical and problem-solving skills to identify inefficiencies and implement improvements using automation tools. the ideal candidate will have a solid understanding of financial systems and workflows, as well as experience with tools like quickbooks and excel. a bachelor's degree in accounting, finance, or a related field is also required. - a minimum of 3 years of experience in finance operations, accounting, or business operations - fluent english language skills (reading, writing, and speaking) with near-native proficiency - strong skills in quickbooks and excel / google sheets - familiarity with tools like airtable, zapier, and hubspot is a plus benefits: - monday to friday schedule - 100% remote position - working hours: 8 am - 5 pm pacific time - indefinite-term contract - paid time off in your first year - job type: full-time job...
Lead financial operations manager "> we are seeking an experienced finance professional to lead our financial operations and strategy. this role will be responsible for managing and reviewing all financial transactions, developing accounting policies, and preparing financial statements. "> about the role: "> this is a hands-on execution with strategic oversight role that blends strong financial skills with leadership abilities. you will play a crucial leadership role in ensuring financial accuracy, compliance, and long-term planning aligned with company goals. "> key responsibilities: "> "> 1. manage and review all financial transactions, journal entries, account reconciliations, and reporting processes. "> 2. develop, implement, and maintain accounting policies, procedures, and internal controls. "> 3. prepare gaap-compliant financial statements, budgets, and forecasts. "> 4. own and drive financial forecasting, scenario modeling, and performance tracking. "> 5. provide insights and analysis to support key business decisions. "> "> requirements: "> "> - 5+ years of experience as a finance controller or in a senior finance position (preferably in u.s.-based startups or growth-stage companies). "> - advanced knowledge of accounting principles, practices, and compliance requirements. "> - high proficiency in google sheets, quickbooks, and hubspot (erp or bi tools are a plus). "> - strong analytical and problem-solving skills; highly detail-oriented. "> - proven ability to lead cross-functional initiatives and influence decision-making. "> - bachelors degree in a...
Job opportunity: fp&a; expert we seek an accomplished financial planning and analysis (fp&a;) expert to spearhead initiatives across our portfolio and advisory projects. this role is ideal for someone who excels in a fast-paced environment, operates independently, and possesses strong financial modeling and presentation skills. you will collaborate directly with leadership teams to deliver actionable insights, develop financial models, and create compelling presentations for internal stakeholders and external investors. key responsibilities: - create and maintain dynamic financial models for clients, including forecasts, budgets, and scenario analysis. - support operations teams in ad-hoc analysis and identify areas of potential opportunity. - present monthly actual vs budget reconciliations. - contribute to m&a; and investment due diligence through cash flow modeling, roi analysis, and valuation assessments. - analyze operational and financial performance metrics to identify trends, risks, and opportunities. - develop investor-ready presentations, board materials, and pitch decks that clearly communicate financial insights and strategic recommendations. - conduct site selection analysis and develop financial pro formas for new locations. - track and analyze construction project expenses against budgets and timelines. - evaluate menu performance, analyze customer data, and provide insights on menu trends and results from marketing and merchandising initiatives. - collaborate with consulting team members to assess client performance, propose strategic initiatives, and im...
Job title: financial business analyst job description we are seeking a highly skilled and experienced financial business analyst to join our team. the ideal candidate will have a strong background in financial analysis, planning, and reporting. this role will involve working closely with senior management to provide strategic financial guidance and support. the successful candidate will have excellent analytical skills, be able to interpret complex financial data, and communicate effectively with stakeholders. they will also have experience with financial systems and software, including excel, financial modeling, and budgeting tools. duties and responsibilities: - develop and maintain accurate and up-to-date financial models and forecasts. - analyze financial data to identify trends and areas for improvement. - provide regular financial reports and updates to senior management. - collaborate with cross-functional teams to drive business decisions and initiatives. required skills and qualifications to be successful in this role, you will need: - a bachelor's degree in finance or accounting. - at least 7 years of experience in financial analysis and planning. - excellent analytical and problem-solving skills. - experience with financial systems and software, including excel and financial modeling. - strong communication and interpersonal skills. benefits this role offers a competitive salary and benefits package, including: - a comprehensive health insurance plan. - a retirement savings plan. - ongoing training and development opportunities. - a collaborative and d...
About nubank nubank was founded in 2013 to free people from a bureaucratic, slow and inefficient financial system. since then, through innovative technology and outstanding customer service, the company has been redefining people's relationships with money across latin america. the team breaks the status quo by facing challenges from the perspective of technological innovation as a tool to automate and make our processes run more efficiently. our goal is to build a strong and diverse team that looks to create something worthwhile. as a financial operations analyst in treasury management, you're expected to: - operate cash management activities, focusing on local operations monitored by regulatory bodies. - ensure compliance with each financial operation, guided by treasury team instructions. - banks funding without risks, manage bank accounts, and keep users updated for internal and external controls. - prepare supporting documentation for internal and external audits. - manage sap movements regarding bank movements. we are looking for a financial operations analyst who has: - bachelor's degree: industrial engineering, business administration, accounting or similar. - fluent in spanish and english (intermediate) to connect teams of treasury, back office, and others. - minimum 5 years of experience working in cash management in banks and proven experience managing regulated entities. - knowledge of treasury processes: bank transfers, reconciliations, rate validation, interest calculations, and balance monitoring. - experience in process automatization, excel, power bi,...
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