Company summary:Early-stage startup (founded in 2024) operating under a CFO-as-a-Service model, providing companies with high-level financial expertise on a flexible, fractional basis. This includes everything from financial operations to investment strategy, business modeling, and decision-making support—without the need for a full-time CFO. The company delivers a full finance “cell” to clients, working as an embedded partner across strategy, reporting, and growth initiatives. With ~USD $500K in annual revenue, the company is entering a new growth phase and growing their team.This is a highly entrepreneurial environment offering remote work across LatAm, high autonomy, low hierarchy, strong exposure to founders, and diverse projects across industries—ideal for someone looking to accelerate their career beyond traditional finance pathsJob Description:As an FP&A Junior Analyst, you will work directly with our senior team and client-facing leads across multiple engagements simultaneously. This is not a traditional finance role — you will get exposure to a wide range of industries, business models, and strategic challenges that most analysts don't see until much later in their careers. You will be hands-on from day one, supporting the delivery of financial insights and models that directly influence how our clients grow and make decisions.What You Will DoBuild and maintain financial models across multiple client engagementsSupport the preparation of monthly financial reporting packages, dashboards, and variance analysis (actuals vs. budget vs. forecast)Assist in the development of annual budgets and rolling forecasts for clients across different industriesConduct business performance analysis — identifying trends, risks, and opportunities based on financial and operational dataHelp design and maintain KPI dashboards and management reporting toolsSupport fundraising and investor materials — including financial projections, cap table modeling, and data room preparationResearch industry benchmarks and contribute to market and competitive analysisCollaborate closely with senior team members to translate financial insights into clear recommendations for founders and executives.RequirementsIdeal Background1 to 2 years of experience in FP&A, financial consulting, audit, or investment banking.Degree in Finance, Economics, Business Administration, or Accounting.English proficiency at a professional level is required given the nature of client workHard skillsStrong command of Excel and/or Google Sheets — financial modeling is a core part of the roleFamiliarity with accounting fundamentals — P&L, balance sheet, cash flow statementsExperience or strong interest in FP&A, business modeling, or management reportingExposure to BI or data visualization tools (Power BI, Looker, or similar) is a plusFamiliarity with tools like QuickBooks, Xero, or similar accounting platforms is a plusSQL basics or willingness to learn is valuedSoft skillsHigh autonomy and ability to manage multiple workstreams simultaneouslyIntellectual curiosity and eagerness to learn across diverse industriesStrong communication skills — able to present financial information clearly to non-finance audiencesComfort with ambiguity and fast-paced, entrepreneurial environmentsDetail-oriented with strong analytical thinkingBenefitsWhat We OfferFully remote work.Direct exposure to founders, CFOs, and senior decision-makers from day oneDiverse project experience across industries — no two months look the sameA low-hierarchy, high-autonomy environment where your ideas and initiative are valuedAccelerated career development far beyond what a traditional finance role would offer at this stage