Core Responsibilities

The specialist will manage local treasury operations including cash management, FX transactions, and payment execution, while developing risk control reports in coordination with banking partners. This role also involves leading automation projects to enhance processes and analyzing liquidity solutions for strategic investment.

Requirements

Candidates must possess a Bachelor's degree in finance or a related field along with over five years of experience in treasury, financial markets, or risk management. Fluency in Spanish and advanced English are required, along with in-depth knowledge of Argentine treasury regulations.

Additional Information

Experience Level

5-10

Job Language

English

Work Mode

Hybrid