QuintoAndar

Grupo QuintoAndar | Especialista de Riscos Financeiros

QuintoAndar

What You'll Do

Support the structuring of the methodology, governance, and roadmap for financial risk management. Identify, evaluate, and monitor exposures related to liquidity risk, credit risk, market risk, and treasury operations. Develop risk maps, assessment matrices, and financial exposure analyses. Create and implement quantitative methodologies for financial risk management, including scenario analyses and stress tests.

What We're Looking For

Bachelor's degree in Administration, Economics, Accounting, Engineering, Statistics, or related fields. Relevant experience in financial risk management, Treasury, Credit, Market, Corporate Finance, Financial Institutions, Fintechs, or Consulting. Advanced knowledge of Excel or Google Sheets and experience with data visualization tools like Power BI or Tableau.

What We Offer

The company offers a hybrid work model, combining remote work flexibility with in-office collaboration in São Paulo. There is an emphasis on autonomy and the opportunity to work with cutting-edge technology in a rapidly growing sector.

Additional Information

Experience Level

Mid-Level

Job Language

Portuguese

Employment Type

Full-time

Work Mode

Hybrid