Core Responsibilities

Lead the treasury strategy and execution to maximize cash generation and minimize financial risks such as currency volatility and interest. Manage liquidity, cash flow forecasting, bank relations, and compliance with local and global financial policies across four countries.

Requirements

Requires a degree in Public Accounting or equivalent with a preferred postgraduate degree in Finance and at least 3 years of experience in financial leadership roles within multinational companies. Must have high English proficiency and expertise in derivative instruments, currency hedging, and financial market regulations.

Additional Information

Experience Level

2-5

Job Language

Spanish

Work Mode

On-site