Job description we are seeking a highly skilled senior analyst, finance business partner to join our team. the ideal candidate will have a strong background in finance and business analysis, with excellent communication and problem-solving skills. the senior analyst, finance business partner will be responsible for providing financial insights and support to leadership, as well as developing materials for financial planning and forecasting. this role requires a deep understanding of the business model and the ability to analyze complex data. key responsibilities include: - developing financial plans and forecasts for the organization - providing financial insights and recommendations to leadership - collaborating with cross-functional teams to drive business growth and improvement - maintaining accurate and up-to-date financial records required skills and qualifications to be successful in this role, you will need: - a bachelor's degree in finance or a related field - at least 3 years of experience in finance and business analysis - excellent communication and problem-solving skills - ability to work effectively in a fast-paced environment - proficiency in financial modeling and analysis tools benefits this role offers a competitive salary and benefits package, as well as opportunities for professional growth and development. you will be part of a dynamic and supportive team that is dedicated to delivering exceptional results. what we offer we offer a range of benefits, including: - competitive salary and bonus structure - comprehensive health and wellness benef...
We are looking for a highly motivated financial analyst to join our team. this is a great opportunity for early-career professionals with experience in investment banking, consulting, or finance roles, eager to grow in a dynamic and high-growth environment. you will be responsible for building and maintaining robust financial models that feed our planning cycles, as well as supporting the development of strategic plans for investors and fundraising processes. key responsibilities: - developing and maintaining accurate financial models for internal planning and investor communications. - supporting annual budgeting and forecasting processes with regional teams. - collaborating on the development of strategic plans, aligning inputs from different business areas. - analyzing financial performance and identifying actionable insights for leadership. - working cross-functionally with finance, strategy, operations, and growth teams. requirements: - university degree in business administration, economics, engineering, finance, or related fields. - 1 to 2 years of experience in investment banking, strategic consulting, or corporate finance. - advanced proficiency in excel / google sheets. - knowledge of sql (desirable). - excellent oral and written communication skills. - analytical, detail-oriented, collaborative, and eager to learn. - intermediate to advanced english (spoken and written). - experience working with multicultural teams is a plus. about the role: this is a fantastic opportunity to join a dynamic team and make a real impact on the company's growth. if you are a...
Job opportunity "> we are reimagining the glassmaking process, a transformative industry that has been unchanged for over 100 years. we threw away traditional methods and designed innovative solutions, bringing new benefits to our customers. this is just the beginning as we expand our offerings and implement future technologies across our operations. we are part of a global organization with 20,000+ employees and an unparalleled footprint spanning 70 plants in 20 countries, providing us with the opportunity to make a significant impact. ">",...
Senior financial planning and analysis leader this role sits at the heart of strategic decision-making and drives commercial growth through data-led forecasting, financial insight, and performance analysis. as a trusted advisor to senior leadership, you will be responsible for delivering business-critical recommendations that guide leadership decisions. key responsibilities: 1. budgeting & forecasting: own and lead the planning cycle—monthly, quarterly, and annual budgets—and embed data-driven insights that link market dynamics with internal performance. 2. performance analysis: deep-dive into p&l; drivers, spot patterns, surface risks, and unlock growth opportunities. deliver actionable insights that inform leadership decisions. 3. management reporting: produce clear, executive-level reporting and dashboards that cut through complexity and drive accountability across the business. 4. strategic planning: collaborate with business unit leaders to align financial plans with long-term strategic goals and investment priorities. 5. scenario & sensitivity modelling: stress-test the future. build robust models that quantify upside, downside, and everything in between. 6. cross-functional business partnering: engage with commercial, supply chain, and operations teams to ensure financial rigor, cost control, and resource optimisation across the board. we are looking for a strategic and hands-on finance leader to support with advanced modelling and commercial insight. requirements: - fluent in english and spanish - spanish gaap, ifrs, and erp systems fluency...
Job title: financial management expert this is a key leadership position that requires strong analytical and financial skills to manage the financial aspects of the organization. about us we are a global leader in the healthcare industry, with a commitment to creating breakthrough science to improve people's health. we are always looking towards the future, anticipating changes in medical science and technology. what you'll do - ensure the integrity of financial data and maintain sound internal controls. - partner cross-functionally for insights, analysis, investment decisions, and execution. - present financial and non-financial information to senior leadership. - review actuals p&l; and balance sheet, understand underlying variances, take corrective actions, and manage risk and opportunities. - develop and implement strategies for continuous margin improvement and roi. - manage the process, content, and deliverables of the quarterly rolling lbe and support ltp process. - lead and develop your team for success and define career development opportunities. required skills and qualifications we are looking for a candidate with a degree in accounting, business, finance, economy, or industrial engineering, preferably with a master's in business or finance. the ideal candidate will have at least 10 years of relevant finance experience, with a proven track record in financial planning and analysis, business partnering, internal control, and finance leadership. the candidate should demonstrate initiative, analytical thinking, critical thinking, and problem-solving skills,...
Head of financial planning & analysis (fp&a;) manager this is a high-calibre opportunity to drive strategic financial planning and enhance decision-making across the organisation. the fp&a; manager will act as a key business partner, providing clear, data-driven insights to both internal and external stakeholders. - budgeting & forecasting: lead the development and management of monthly, quarterly, and annual budgets. deliver rolling forecasts based on historical performance, market trends, and strategic business objectives. - financial analysis: analyse financial performance to identify trends, risks, and opportunities. deliver insights and recommendations to senior management to support strategic and operational decisions. - management reporting: produce high-quality, actionable financial reports and dashboards for executive leadership. ensure clarity, accuracy, and timeliness in all reporting deliverables. - strategic business planning: partner with business leaders to align financial planning with the company's medium- to long-term strategic goals. support investment decisions with robust financial modeling. key skills: - strong analytical and advanced financial modelling skills. - proficient in management reporting and kpi development. - solid knowledge of international accounting standards (ifrs). technical requirements: - working knowledge of major erp systems. - experience with reporting platforms and data warehousing systems. language & communication: - fluent in english; spanish proficiency is a plus. - excellent communication and interpersonal skills, wi...
Job opportunity are you a financial expert looking for a challenging role where you can make a significant impact? we are seeking a finance director to join our team and lead cross-functionally for the right fiduciary and stewardship mentality. this position works out of our bogotá location in the established pharmaceuticals division. our broad portfolio of high-quality and differentiated branded generic medicines reaches across multiple therapeutic areas, including gastroenterology, women's health, cardiometabolic, pain management/central nervous system, and respiratory. as the finance director, you will be a key leader who not only acts but also leads cross-functionally for value creation. you will provide accurate actuals business analysis, maximize investments returns, and ensure quality across multiple relevant reporting locally and to the region. responsibilities: - ensure integrity of financials; maintain sound internal controls and secure satisfactory audits. - partner cross-functionally for insights, analysis, investment decision, and execution. - present effectively financial and non-financial information to general manager, region, and area leadership. - review actuals p&l; and balance sheet, understand underlying variances, take corrective actions, and manage risk and opportunities. - have in place the right governance and action for continuous margin improvement and roi. - manage the process, content, and deliverables of the quarterly rolling lbe and support ltp process. - lead and develop your team for success and define career development opportunities. ...
Key responsibilities: - utilize audit concepts and proprietary tools/reports to conduct thorough examination of client accounts payable financial data. - identify variances and/or errors in procurement and payment processes to recover revenue. - understand, manipulate and analyze electronic client data (primarily excel or access). - review contracts, agreements, paperwork and documents for possible missed vendor funding opportunities. - inspect and evaluate client financial information including buyers' files, standards, manifests, purchase orders, invoices, statements, dsd purchases and freight invoices to audit and analyze business operations. - find, support and document audit and claims operations. - produce claims using audit concepts for writing, updating and billing claims to clients. - provide vendors with claim backup information. may contact vendors for pre-approvals. - pack claims for vendors and/or clients. - conduct buyer, contract and document pulls as required. - understand and follow overall audit compliance by adhering to specific guidelines and meeting deadlines. - provide insight and recommendations for process improvements; may work with it to implement and test system enhancements. required skills & qualifications: - bachelor's degree from a four-year college or university; or one to two years related experience and/or training; or equivalent combination of education and experience. - prefer 2+ years of related experience in an office environment. - computer proficiency in excel and/or access is a must. prefer candidates with database knowledge (dbas...
Financial modelling specialist we are seeking a highly skilled financial modelling specialist to join our team. as a key member of our commercial finance group, you will play a critical role in supporting account management and sales teams across north america, canada, and selected latam markets. this is a high-impact role that combines financial modelling expertise, strategic pricing insight, and business partnership to enable data-driven commercial decisions. you will be responsible for designing and structuring optimal pricing and commercial models, building and managing complex financial models, and facilitating deals through the internal approval process. your impact:...
Job title: financial operations specialist as a skilled and detail-oriented financial operations specialist, you will play a key role in ensuring the accuracy and efficiency of our company's financial processes. responsibilities: 1. hris management - register and onboard new employees, maintaining accurate and complete records. - manage updates, such as salary changes and promotions, in a timely manner. - organize and keep employee data current, including departments, managers, benefits, employment status, etc. - payroll processing - review and validate time-tracking and attendance records. - coordinate with managers to confirm hours before each payroll cycle. - ensure payroll accurately reflects hours worked, leave taken, and benefits. - policy development & compliance - draft and update hr policies aligned with labor laws. - monitor legal compliance and support fair resolution of workplace issues. - employee requests & leave management - process leave requests, ensuring proper documentation. - ensure all approvals align with internal policies. - recruitment & selection - post open roles internally and externally. - review applications and resumes. - screen candidates and coordinate interviews, assessments, and documentation. - pre-employment documentation - coordinate pre-employment steps, such as health insurance enrollment and background checks. - communicate with vendors to follow up on confirmations. - hiring & role formalization - prepare and issue employment contracts aligned with local labor laws. - maintain accurate job descriptions and employee rec...
Job overview: we are seeking a highly skilled and experienced senior financial analyst to join our team. the successful candidate will be responsible for providing financial insights and analysis to support business decisions across the organization. the senior financial analyst will play a key role in managing all aspects of financial planning, including budgeting, forecasting, and reporting. this includes developing and maintaining financial models, analyzing data, and providing recommendations to senior management. this is an excellent opportunity for a motivated and detail-oriented individual to join a dynamic team and contribute to the success of the organization. about the role: - support the development of financial plans and forecasts for the organization. - analyze financial data to identify trends and areas for improvement. - develop and maintain financial models to support business decisions. - provide financial insights and recommendations to senior management. - manage and execute financial reporting requirements. requirements: - chartered accountant/cpa/cfa/acca or mba finance qualification. - advanced knowledge and experience with financial planning and management. - good understanding of business intelligence tools and experience with financial systems/applications. - strong analytical and problem-solving skills. - excellent communication and presentation skills. what we offer: - a competitive salary and benefits package. - ongoing training and development opportunities. - the chance to work with a dynamic team and contribute to the success of t...
Job title: accounting and financial controller we are seeking a highly skilled accounting and financial controller to join our team. this individual will be responsible for managing daily accounting and bookkeeping, maintaining lists of vendors, checking customs documentation, and ensuring accurate financial transactions. responsibilities: - performing and managing daily accounting and book keeping - maintains list of vendors and timing relevant for reconciliation(balance reconciliation letters) - check customs documentation and post taxes/prepare payments; cooperation with customs brokers; - annual stock taking of vendors (balance reconciliation letters); - accounting and control of paid advances; - monthly closing procedures: ensuring that month is closed properly – necessary calculations and postings are in place. - assistance in audits, providing all necessary documents and information, prepare reports required by auditorsensuring that procedures of the company are followed and complied with. - ensuring that transactions entered were done properly and accurately by selecting correct accounts, correct periods and correct accounting and tax principles. - ensuring that taxes are calculated and accounted for in compliance with the tax legislation for colombia, argentina, brazil. - perform other duties, as asked by the manager, which are related to this position and which meet the qualifications. - replace colleagues during their vacations, sick leaves and other absences. replacement takes place during working time, and it is not considered as additional work. - support a...
We are seeking a highly motivated and detail-oriented financial transactions specialist to join our team in medellín. this role is ideal for an individual who enjoys working in a collaborative environment, has at least one year of experience in financial transactions or related roles, and possesses excellent communication skills. the successful candidate will be responsible for generating and tracking invoices, recording payments, and maintaining customer accounts. they will also be required to investigate and resolve billing discrepancies, prepare regular financial reports, and collaborate closely with the accounting and sales teams. - generate and track invoices for clients - record payments and keep customer accounts up to date - contact clients to follow up on outstanding payments - investigate and resolve billing discrepancies - prepare regular financial reports - closely collaborate with the accounting and sales teams requirements - at least 1 year of relevant experience - basic knowledge of accounting tools and excel - excellent communication and customer service skills - full on-site availability in medellín this is an exciting opportunity for someone looking to level up their career in finance with a dynamic and growing organization....
Finance operations specialist "> we are seeking a detail-oriented finance operations specialist to safeguard the accuracy and integrity of our financial data and reporting. "> about this role "> this role will drive month-end and year-end close activities, partner with international colleagues to reconcile accounts, and champion process-improvement initiatives powered by automation, power bi and ai. "> main responsibilities "> "> - deliver accurate, timely financial reports and analyses that enable data-driven decisions across the region. "> "> - lead key close activities—journal entries, reconciliations, controls reviews, payables/receivables and intercompany—ensuring compliance and audit-readiness. "> "> - validate and reconcile global financial data with international teams, strengthening transparency and control. "> "> - maintain organized audit documentation to support internal and external reviews. "> "> - leverage excel and financial modeling to surface trends and support forecasting. "> "> - advance automation initiatives using power bi, power automate and excel macros to streamline recurring tasks and free the team for deeper analysis. "> "> - apply ai tools to finance processes to uncover efficiencies and continuous improvement opportunities. "> "> "> requirements "> "> - 4+ years as a finance associate or similar. "> "> - bachelor's degree in finance, accounting or related field. "> "> - intermediate english proficiency (b2). "> "> - intermediate to advanced microsoft excel skills. "> "> - strong analytical and problem-solving mindset wit...
Job title: financial planning analystabout the role: the financial planning analyst plays a pivotal role in driving strategic decision-making across the organization by providing actionable financial insights and analyses. as part of the finance team, this individual will contribute to the development of accurate financial forecasts, budgets, and performance monitoring processes for the north latin america division. main responsibilities: • financial analysis: conduct comprehensive financial analyses to support business initiatives and identify opportunities for cost savings and revenue enhancement. • budgeting & forecasting: assist in the development and implementation of the annual budget and quarterly forecasts, ensuring alignment with company objectives. • performance reporting: prepare and present financial reports, including variance analyses, to senior management to aid in strategic decision-making. • data management: maintain and update financial models and databases to ensure data accuracy and integrity. • strategic planning: support long-term strategic planning processes by providing financial insights and recommendations. • cross-functional collaboration: work closely with various departments to gather relevant financial information and ensure cohesive financial strategies. • compliance and controls: ensure adherence to financial regulations, company policies, and internal controls. requirements: • education: bachelor's degree in engineering, finance, accounting, economics, or a related field is required. a master's degree or professional certifi...
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