Analyze and forecast financial and economic data to support strategic and operational decision-making.
Develop financial models and performance forecasts for short, medium, and long-term planning.
Act as a Business Partner, collaborating with different areas of the company to optimize resources and results.
Assess costs, prices, expenses, and revenues, providing strategic recommendations to senior management.
Prepare and document complex financial analyses and identify opportunities for improvement.
Participate in the budgeting and forecasting process, ensuring accuracy and alignment with business objectives.
Support the automation of financial reports and processes to enhance efficiency.
What you will need:5+ years of experience in FP&A.
Academic background in administrative, financial, or related fields.
Advanced English.
Travel Percentage: None