Senior Finance Analyst

J
JobgetherReal Estate, Hospitality, Technology
Based in BrazilFull-TimeSenior
Salary not disclosed
Apply NowOpens the employer's application page

Job Details

Required Skills
Data AnalysisMicrosoft ExcelAccountingGoogle SheetsBudgeting

Requirements

  • Proven experience in accounting, audit, investment banking, private equity, FP&A, consulting, hospitality, real estate, or a high-growth startup environment.
  • Strong understanding of accounting and financial principles, financial controls, reconciliations, and business performance analysis.
  • Highly analytical mindset with the ability to work confidently with large volumes of financial and operational data.
  • Advanced proficiency in Excel or Google Sheets.
  • Strong financial reconciliation, problem-solving, and attention-to-detail skills.
  • Commercial mindset with the ability to understand financial results in relation to business performance and profitability.
  • Experience building budgets, forecasts, financial models, dashboards, or management reporting.
  • High level of ownership, accountability, autonomy, and initiative.
  • Excellent written and verbal communication skills, including confidence communicating directly with senior management.
  • Ability to operate effectively in a fast-moving environment.
  • Strong interest in technology, automation, and AI.
  • Bachelor's degree in Finance, Accounting, Economics, Business, Mathematics, or another analytical discipline is preferred.

Responsibilities

  • Own and improve day-to-day financial reporting and controls, ensuring management information is complete, accurate, validated, and properly supported.
  • Identify manual and repetitive finance activities and design more efficient workflows, collaborating with technical teams to automate processes where possible.
  • Reconcile payments from booking platforms, direct bookings, and other distribution channels, ensuring expected funds are received accurately and on time.
  • Reconcile bank accounts and incoming payments, investigate discrepancies, and ensure transactions are correctly recorded.
  • Monitor accounts payable and accounts receivable, including supplier invoices and company expenses.
  • Manage statutory filings and corporate compliance across multiple jurisdictions, working with external accountants, tax advisers, auditors, and banking partners.
  • Build dashboards and reporting systems that provide management with timely visibility into business performance.
  • Analyze financial performance by property, city, country, and business unit, identifying trends, risks, revenue leakage, and opportunities for improvement.
  • Develop and maintain budgets, forecasts, and financial models while monitoring cash flow and future capital requirements.
  • Present financial insights and recommendations directly to founders and senior management.
View Full Description & ApplyYou'll be redirected to the employer's site
View details
Apply Now