Financial Analyst (Financial Modeling – Treasury & Cash Flow)

This listing is synced directly from the company ATS.

Role Overview

The Financial Analyst will focus on building and analyzing financial models related to cash flow, liquidity, and working capital. This mid-level, hands-on role involves collaborating with a U.S.-based software company and directly contributing to the development of advanced AI systems by modeling real-world financial scenarios. The analyst will play a key role in enhancing understanding of cash management practices.

Perks & Benefits

This remote position offers flexible, asynchronous work hours, allowing for a balanced work-life setup. The role provides opportunities to work on cutting-edge AI projects, contributing to innovative financial workflows. The company culture emphasizes collaboration and the application of real-world finance skills in a progressive environment, which may facilitate career growth.

Full Job Description

Role: Financial Analyst (Financial Modeling – Treasury & Cash Flow)
Engagement: Contract · Remote (LATAM)
Hours: 15–40 hours/week · Flexible, asynchronous work

Overview

We are partnering with a U.S.-based software company to hire a Financial Analyst with strong financial modeling experience focused on cash flow, liquidity, and working capital.

This is a hands-on modeling role. You will be building and analyzing financial models that reflect how companies manage cash, liquidity, and financial obligations in real-world scenarios.

Your work will contribute to training advanced AI systems to understand how experienced finance professionals model and make cash-driven decisions.

What You’ll Do

  • Build and analyze cash flow models, liquidity forecasts, and working capital models

  • Model timing of cash inflows and outflows, including revenue, expenses, and capital expenditures

  • Develop debt schedules, interest calculations, and repayment scenarios

  • Analyze liquidity, runway, and short-term vs long-term cash needs

  • Stress-test models under different scenarios (e.g., delayed collections, cost changes, refinancing)

  • Clearly explain financial logic and decision-making behind cash management

What We’re Looking For

  • 2–8 years of experience in:

    • Corporate FP&A (with strong cash flow modeling exposure)

    • Treasury

    • Credit / lending / underwriting

  • Proven ability to build financial models from scratch, especially cash flow and liquidity models

  • Strong understanding of:

    • Working capital and cash conversion cycles

    • Debt structures and repayment schedules

    • Cash flow statement mechanics

  • Experience working with U.S. GAAP

  • Advanced Excel / Google Sheets modeling skills

  • High attention to detail and analytical rigor

  • Fluent English (written and spoken)

Interview Process

  • Initial interview

  • Take-home financial modeling exercise (compensated if hired)

  • Final interview

Why This Role Is Unique

  • Work on cutting-edge AI systems transforming financial workflows

  • Apply real-world finance skills in a new and evolving context

  • Flexible, remote, and asynchronous work structure

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