Job Description


  • Own and continuously improve Excel-based financial models, including integrated P&L, Balance Sheet, and Cash Flow models.

  • Build and enhance reports that highlight KPIs, trends, and performance drivers

  • Support ad-hoc analysis to answer key business questions

  • Update forecasts using the latest actuals and operational inputs

  • Partner with cross-functional teams to collect assumptions

  • Support the migration of accounting data into new FP&A tool

  • Build and validate reports and dashboards that reduce reliance on manual Excel models


Page Group Argentina is acting as an Employment Agency in relation to this vacancy.

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