Head of FP&A Colombia
We're looking for a Head of FP&A to lead financial planning and analysis for our Colombia operations. You'll partner with the Group Head of FP&A to turn financial data into clear, actionable insight, and you'll play a key role in how the business plans, forecasts, and grows.
As Head of FP&A, you'll own the financial planning process end to end — from budgeting and forecasting to scenario modeling and investor reporting. You'll be the person leadership turns to for a clear read on the numbers, and the person who helps translate that read into decisions across the business.
Challenges that await you:
Lead and manage the financial planning process including budgeting, forecasting, and scenario modeling
Prepare regular management reports for senior leadership and investors
Consolidate financial data across business units and analyze key performance indicators (KPIs)
Build and maintain financial models to evaluate business scenarios, new products, and strategic initiatives
Monitor budget execution, analyze variances, and recommend ways to improve efficiency
Support fundraising activities: prepare investor materials, analyze key metrics, and coordinate due diligence processes
Collaborate with cross-functional teams (Sales, Marketing, Risk, Operations, Product) to align financial objectives with overall company strategy
Drive automation and optimization of FP&A processes, implementing best practices and tools
What makes you a great fit:
Bachelor's degree in Finance, Economics, Mathematics, or a related field
7+ years of experience in FP&A, investment banking, consulting, or corporate finance
At least 2–3 years in a managerial FP&A or similar leadership role
Strong financial modeling and analytical skills, with advanced proficiency in Excel
Experience with BI tools (Power BI, Tableau, Looker, or similar)
Excellent analytical skills and the ability to work with large datasets
Strong communication skills, with experience preparing and presenting materials for executives and investors
Solid understanding of financial and management accounting, including P&L, Cash Flow, and Balance Sheet
Professional English proficiency (written and verbal) to prepare reports and interact with investors
Nice to have:
Experience in fintech, banking, or high-growth startups
Track record in capital raising or debt financing
Familiarity with SQL and analytical databases
Knowledge of IFRS or US GAAP
Our ways of working:
Innovative Spirit: A commitment to creativity and groundbreaking solutions
Honest Feedback: valuing open, transparent communication
Supportive Team: a strong, collaborative community
Celebrating Achievements: recognizing our wins together
High-Tech Environment: a team full of smart and revolutionary people who date to challenge the status quo of incumbent finances
Our benefits:
Relocation support our hub in Colombia — with assistance for the employee and their family
Flexible work from our office
Healthcare Coverage
Education Budget: Language lessons, professional training and certifications
Wellness Budget: Mental health and fitness activity reimbursements
Vacation policy: 20 days of annual leave and paid sick leave