Core Responsibilities

Lead the company's market risk management strategy, covering currency, interest rate, and commodity exposures while ensuring the execution of hedge strategies. Manage spot foreign exchange operations related to the company's commercial and financial flows. Monitor financial markets, macroeconomic scenarios, and regulatory changes, proposing strategies to mitigate risks and optimize costs. Collaborate with Accounting, Tax, Legal, Financial Planning and Analysis (FP&A), and Corporate Treasury to ensure strategic alignment and proper hedge accounting application.

Requirements

Bachelor's degree in Business Administration, Economics, Engineering, Mathematics, Statistics, or related fields. Minimum of six years of experience in Treasury contracting and negotiation, preferably in banks. Solid experience in market risk management, derivatives trading on stock exchanges and over-the-counter (OTC) markets, and hedge accounting standards under US GAAP and BR GAAP. Advanced level of English and Spanish.

Additional Information

Experience Level

Senior

Job Language

Portuguese

Employment Type

Full-time

Work Mode

Remote