Cash Flow Analyst
Remotely+ · Colombie
Job description
About the role
We are looking for a detail‑driven Cash Flow Analyst to own and maintain our daily cash‑flow model. This spreadsheet‑first position involves turning raw bank data into a clean, categorized, and up‑to‑date view of cash, while ensuring the daily forecast matches actual account activity.
Key responsibilities
- Own and update the daily cash‑flow model in Microsoft Excel and Google Sheets.
- Import raw bank data, clean, consolidate, and manipulate it across multiple workbooks.
- Categorize transactions into appropriate accounting buckets using basic bookkeeping judgment.
- Compare daily forecasts with actual bank balances, identify variances, and adjust the model.
- Manage and adjust the schedule of upcoming payments based on cash availability.
- Participate in a daily finance team call to keep forecasts aligned and spending within budget.
Required profile
- Proven hands‑on experience with Microsoft Excel as the primary tool.
- Fast and efficient work across multiple spreadsheets, both Excel and Google Sheets.
- Intermediate spreadsheet skills: pivot tables, XLOOKUP/VLOOKUP, sorting, filtering, and data cleaning.
- Basic bookkeeping knowledge and ability to spot irregularities.
- Meticulous attention to detail and a track record of accurate financial work.
- Advanced English proficiency (C1) for daily live calls.
- Reliability and consistency in a daily‑rhythm role.
Required skills
- Microsoft Excel
- Google Sheets
- Pivot tables
- XLOOKUP / VLOOKUP
- Data cleaning and consolidation
- Basic bookkeeping
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Published 1 month ago
Expires 2 weeks from now
16 views · 0 interested
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Remotely+
Colombie
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