Coordinator, Gss Fp&A (Buenos Aires)

Coordinator, Gss Fp&A (Buenos Aires)

28 may
|
Wyndham Hotels & Resorts
|
Buenos Aires

28 may

Wyndham Hotels & Resorts

Buenos Aires

Coordinator, GSS FP&A; - Cash Flow & Treasury Location: Buenos Aires, AR, C****ACT Property Name: WHR Argentina Req Id: ***** Wyndham Hotels & Resorts is now seeking a Coordinator, GSS FP&A; - Cash Flow & Treasury to join our team at WHR Argentina in Buenos Aires, Argentina.
Why Wyndham
By joining Wyndham Hotels & Resorts, you will play an integral role in our mission to make hotel travel possible for all.
You'll be part of the largest hotel franchise company in the world, where we strive to deliver the best value to our owners and guests.
Most importantly, you'll be entrusted to live our unique Count on Me culture, set by our core values of integrity, accountability, inclusive, caring and fun.
At Wyndham, we provide all team members the opportunity to grow through best-in-class training and career development, leadership training, mentorship opportunities and educational support.
Supporting our team members is a top priority, which is why we offer competitive compensation and benefits, vacation, team member appreciation days, workplace flexibility and much more.
At Wyndham Hotels & Resorts, we value and embrace a culture of diversity, equity and inclusion that supports team members of all backgrounds and experiences.
We can't wait to welcome you!
The Role
This role will be part of Integral Shared Services based in Buenos Aires, Argentina.
The FP&A; Coordinator will: Support the company's cash flow and financial planning processes by preparing budgets, forecasts, management reporting, and variance analysis.
Consolidate expenses related to interest income and FX, load approved financial input into planning systems; and ensure data accuracy across updates and cycles.
Participate in the preparation of cash flow forecast across various balance sheet accounts not limited to AR, deferred revenue, and AP,



and ensure accuracy and consistency across all forecast updates and reporting cycles.
Prepare management packs, conduct scenario and sensitivity modeling, and partner with the finance and business teams to validate financial assumptions and performance drivers.
Analyze monthly actuals versus budget and forecast, identify root causes behind variances, and provide actionable insights for leadership decision making.
Support month end close activities and help maintain planning governance, templates, and data integrity.
What you'll do Prepare, validate, and maintain updated cash flow, interest and FX forecast submissions, ensuring accuracy, completeness, and consistency with approved assumptions.
Build the cash flow, interest and FX financial forecast, incorporating historical data, operational trends, and stakeholder input before submission for FP&A; leadership review.
Input and validate approved cash flow, interest and FX forecast/ budget line items in the financial system of record (Hyperion) to ensure accurate consolidation and reporting.
Review monthly actuals versus budget and forecast, identifying favorable/unfavorable variances and explaining key performance drivers.
Assist in the preparation of monthly and quarterly performance reporting, including dashboards, variance summaries, and KPI updates.
Partner with FP&A; leadership and cross‐functional teams to gather inputs, validate assumptions,



and ensure alignment of financial results.
Maintain audit‐ready documentation supporting budgeting, forecasting, and close‐cycle activities.
Support continuous improvement of forecasting templates, data validation processes, and reporting workflows.
You'll be successful if you have Understanding of FP&A; processes: budgeting, forecasting, cash flows, variance analysis, management reporting, and month end financial routines.
Ability to analyze financial results, identify trends, and explain performance drivers clearly and effectively.
Experience with planning tools such as Hyperion, Oracle EPM, or similar systems.
Strong financial modeling, scenario analysis, and Excel skills.
Ability to consolidate large financial datasets, validate assumptions, and coordinate cross functional inputs.
Understanding of accounting principles and how journal entries interact with financial statements.
Strong communication and business partnering skills across Finance, Operations, and Corporate teams.
Attention to detail, ownership mindset, and capability to work under deadlines.
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.
3–5 years of experience in Accounting, FP&A;, Corporate Finance, or similar analytical roles.
Experience preparing P&L; and Cash Flow budgets, forecasts, management reports, and variance analyses.
Experience with financial planning systems and ERP platforms (HFM, Oracle, SAP, or similar).
Experience working cross‐functionally with Accounting.
Strong Excel skills.
Experience in Shared Services or multinational environments is a plus.

📌 Coordinator, Gss Fp&A (Buenos Aires)
🏢 Wyndham Hotels & Resorts
📍 Buenos Aires

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