Core Responsibilities

The role involves supporting and executing the management of global and LATAM financial applications, focusing on risk, liquidity, and return, alongside monitoring consolidated cash and investment positions across various countries. Responsibilities also include controlling financial operations, ensuring accuracy in cash flows and operational controls, and supporting financial closing and audits.

Requirements

Candidates must have prior experience in structured Treasury, banking environments, asset management, trading desks, or fintechs, with strong knowledge of financial products like fixed income, funds, derivatives, and foreign exchange. Mandatory requirements include proficiency in Excel/Google Sheets and advanced English and Spanish for international interactions.

Additional Information

Experience Level

2-5

Job Language

Portuguese

Work Mode

Hybrid