Grupo QuintoAndar | Treasury Analyst
QuintoAndarWhat You'll Do
Execute and control regional payments to suppliers, taxes, and salaries. Manage operational cash, local funding, and account funding, ensuring availability of local and foreign currency as needed. Perform bank reconciliations and analyze bank balances, movements, and discrepancies. Update daily cash position and prepare monthly local cash flow reports.
What We're Looking For
Advanced student or graduate in Economic Sciences (e.g., Business Administration, Public Accountant). Intermediate-advanced proficiency in Excel, Google Sheets, and Macros. Proven experience in managing banking platforms and solid background in payment management and cash flow analysis.
What We Offer
The position offers a hybrid work model, requiring in-office presence once a week in Nuñez, Buenos Aires. The selection process includes multiple interview stages and aims to evaluate your experiences and career opportunities.
Key Skills & Technologies
Additional Information
Experience Level
Mid-Level
Job Language
Spanish
Employment Type
Full-time
Work Mode
Hybrid