Coordinator, GSS FP&A - Cash Flow & Treasury

Wyndham Hotels & Resorts · buenos aires, espírito santo, Brazil

Location
buenos aires
Job Type
Full-time
Posted
July 15, 2026

Job Description

Wyndham Hotels & Resorts is seeking a Coordinator, GSS Cash Flow, Treasury & Capital to join our team at WHR Argentina in Buenos Aires, Argentina.

The Role

  • Support daily liquidity management by monitoring cash positions, forecasting short‑term cash needs, and tracking operating balances across accounts.
  • Assist in executing payments, coordinating with AP and AR to align settlements, and ensuring proper cash flow execution.
  • Perform key treasury controls including sanction screening, transaction reconciliation, and month‑end close activities.
  • Prepare recurring treasury reports, including interest expense and fee analyses, and support leadership reporting related to share repurchase activities.
  • Ensure accuracy, compliance, and timely delivery of treasury operations data in alignment with corporate financial standards.

What You’ll Do

  • Perform daily cash position tracking by reviewing opening...

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