25 may
|
Wyndham Hotels and Resorts
|
Buenos Aires
25 may
Wyndham Hotels and Resorts
Buenos Aires
Postúlate en Kit Empleo: kitempleo.com.ar/empleo/q0b9z
Wyndham Hotels & Resorts is now seeking a Sr. Manager, GSS FP&A; and Treasury to join our team at WHR Argentina in Buenos Aires, Argentina.
Role
This role will be part of General Shared Services based in Buenos Aires, Argentina.
The GSS FP&A; / Treasury Senior Manager will:
- Support the organization’s financial planning, performance reporting, liquidity management, and treasury operations.
- Ensure accurate and timely execution of budgeting, forecasting, cashflow oversight, treasury governance, and capital‑planning support.
- Supervise SSC FP&A; and Treasury activities, consolidate insights, and partner with retained and SSC Finance and operational teams.
- Support financial discipline, enhance cashflow visibility, and contribute to informed strategic decision‑making on the subjects under the SSC scope.
What you’ll do
- Support and manage strategic planning, budgeting, and forecasting processes by coordinating budget inputs, validating submissions, maintaining planning templates, and ensuring assumptions align with corporate guidance and market insights.
- Oversee preparation of financial performance reporting, including monthly and quarterly management packs, KPI dashboards, and variance analyses that explain key drivers across revenue, cost, and working‑capital performance.
- Manage the capital planning and business‑case process, reviewing financial assumptions, ensuring accurate completion of templates, tracking capital spend against budget, and supporting cost‑allocation model updates.
- Coordinate and supervise daily cashflow and liquidity operations, including cash positioning, minimum‑balance checks, sanctions screening, treasury reconciliations, and monitoring short‑term liquidity needs.
- Manage the cashflow forecasting process, supporting the development of initial forecasts, updating rolling projections, analyzing variances, and ensuring consistency with FP&A; and Treasury principles.
- Oversee preparation of treasury reporting, including interest‑expense inputs, Bloomberg‑based data, share‑repurchase reporting, and materials required for management or Investor Relations.
- Ensure proper governance of treasury operational processes, including review and approval of journal entries, reconciliations, payment files,
and adherence to internal controls and data‑quality standards.
- Partner with other Financial Retained and SSC teams to align liquidity planning with operational requirements, support working‑capital initiatives, and resolve cashflow‑related issues.
- Identify operational risks and opportunities within forecasts, capital planning, and cashflow activities, and propose practical improvements, mitigation approaches, and efficiency enhancements.
- Lead continuous‑improvement efforts across forecasting tools, treasury workflows, reporting automation, data validation routines, and financial‑planning models to strengthen process effectiveness.
You’ll be successful if you have
- Strong understanding of FP&A; processes: budgeting, forecasting, financial modeling, variance analysis, and performance reporting.
- Solid knowledge of treasury operations, including daily cashflow management, liquidity forecasting, minimum‑balance policies, banking processes, and treasury controls.
- Strong knowledge of planning systems (HFM, Oracle, SAP, or equivalent) and data validation in system‑of‑record environments.
- Expertise in variance analysis, management reporting, and KPI frameworks.
- Solid understanding of market and competitor benchmarking methodologies.
- Strong knowledge of capital planning, project evaluation, cost allocation models, and capital spending governance. Familiarity with quarterly earnings preparation and investor‑related deliverables.
- Experience operating within shared services centers, or large multinational environments.
- Strong executive communication skills with the ability to synthesize complex financial information into clear, actionable insights.
- Leadership capabilities to guide and develop FP&A; / Treasury teams and influence cross‑functional stakeholders. High analytical rigor, accuracy, and attention to detail.
- Strong planning and organizational skills to lead multiple planning cycles and ongoing reporting deliverables.
- Ability to work independently, exercise sound judgment, and elevate issues appropriately.
- Proactive, continuous‑improvement mindset with strong problem‑solving ability.
- Fluency in English and Spanish, with the capacity to support cross‑regional operations.
Required Qualifications/Experience
- Bachelor’s degree in Finance, Accounting, Economics, Business Administration, or related field; MBA preferred.
- 10+ years of progressive FP&A;, Treasury, Corporate Finance, or similar financial leadership roles.
- Demonstrated expertise in capital planning, business case preparation, and performance tracking.
- Prior leadership experience managing FP&A;/Treasury teams.
- Experience working in Shared Services Centers, within complex environments and large volumes of operation.
- Experience in negotiating and managing Service Level Agreements (SLAs).
- Experience in transitioning AR activities to Shared Services Center environments (creation of desktop procedures, work shadowing, etc.)
- Hospitality, retail, or multi‑location industry experience is strongly preferred.
What we expect from you
You will play an important part in our mission to make travel possible for all by:
- Being responsive, respectful and delivering great experiences to our guests, partners and communities.
- Fostering an inclusive environment where individuals feel empowered to bring their authentic selves to work and share their diverse perspectives.
- Bringing your best every day and striving to exceed expectations in all you do.
What you can expect from us
With Wyndham Hotels & Resorts, you can expect a fulfilling career to include:
- Growth opportunities through best‑in‑class training and career development, leadership training, mentorship opportunities and educational support.
- Competitive salary and benefits.
- Team member benefit programs that focus on nutrition, exercise, lifestyle management, physical and emotional wellness, financial health, and the quality of the environment in which all team members work and live.
- A Culture of Diversity & Inclusion – Our inclusive culture infuses different perspectives that reflect our diverse customers and communities around the world.
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Postúlate en Kit Empleo: kitempleo.com.ar/empleo/q0b9z
📌 Sr. Manager, GSS FP&A and Treasury (Buenos Aires)
🏢 Wyndham Hotels and Resorts
📍 Buenos Aires