FP&A and Treasury Lead - Autolab

AI overview

Be a key partner in financial planning and treasury operations for a fast-growing company while enhancing financial processes and gaining direct leadership exposure.

🚗 About Autolab

At Autolab, we’re transforming the automotive service industry in Latin America. Through technology, data, and a solid operational network, we help companies scale efficiently while keeping vehicles in optimal condition.

We’re growing fast, and to keep making smart, data-driven decisions, we’re looking for an FP&A and Treasury Lead to join our team in Mexico City.

 

🎯 The Role

As FP&A and Treasury Lead, you’ll be responsible for driving financial planning, analysis, and cash management strategies. You’ll translate operational and financial data into insights that guide decision-making, ensure liquidity, and strengthen financial control.

You’ll work closely with the executive and operations teams, becoming a key partner in strategic and day-to-day financial planning.

 

📌 Responsibilities

  • Lead financial planning and forecasting processes.
  • Design, maintain, and improve financial models (P&L, cash flow, scenario analysis).
  • Lead cash flow planning, liquidity forecasting, and treasury operations.
  • Analyze margins, costs, and business performance to identify opportunities for improvement.
  • Prepare financial reports and dashboards for executive and investor visibility.
  • Support capital planning, investment analysis, and potential fundraising activities.
  • Implement and optimize treasury controls, payment schedules, and cash management tools.

 

🚀 What We Offer

  • Salary up to $70,000 MXN gross monthly
  • A high-impact role in a fast-growing company.
  • Direct exposure to leadership and decision-making.
  • Opportunity to build and improve financial and treasury processes from scratch.
  • Dynamic, hands-on, and collaborative environment.
  • 100% on-site position in Mexico City.
  • Competitive compensation package with all benefits given by law

 

✅ Requirements

  • 4+ years of experience in FP&A, Treasury, or Corporate Finance roles.
  • Strong understanding of financial statements and cash flow management.
  • Advanced Excel or Google Sheets skills (financial modeling required).
  • Excellent analytical and communication skills.
  • Strong business acumen and attention to detail.
  • Experience working in startups or high-growth environments is a big plus.
  • Intermediate to advanced English is required.

 

📩 Interested?

If this sounds like you apply directly through this posting. We’d love to meet you!

Salary
MEX$70,000 per month
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