Core Responsibilities

The role involves managing global financial investments, cash flow, and banking operations while ensuring financial accuracy and compliance. The specialist will also develop financial analyses and support strategic treasury projects.

Requirements

Candidates must have prior experience in structured treasury environments and a strong understanding of financial products. Proficiency in Excel and knowledge of SQL or Python are also required, along with advanced English and Spanish skills.

Additional Information

Experience Level

2-5

Job Language

Portuguese

Work Mode

Hybrid