Treasury Analyst

Location
São Paulo
Workplace
On-site

About this role

The position will be responsible for managing and controlling payment processes, ensuring the accuracy of bank transactions, healthy cash flow, and efficiency across financial operations:

  • Monitor bank balances and financial investments;
  • Monitor and control bank fees;
  • Manage relationships with financial institutions;
  • Manage the daily payment process through SAP;
  • Perform daily bank reconciliation of payments in SAP;
  • Prepare daily cash flow information, including incoming receipts and outgoing payments;
  • Prepare weekly and monthly payment forecasts for Brazil, Argentina, Uruguay, and Paraguay;
  • Execute foreign exchange transactions;
  • Monitor and control bank guarantees;
  • Manage the daily payment exchange rate;
  • Support SOX controls by providing financial information and documentation;
  • Manage ZIM's registration with customers;
  • Prepare monthly closing reports;
  • Identify opportunities to improve treasury processes and propose solutions;
  • Ensure compliance with financial policies and internal controls.

Requirements

  • Bachelor's degree in Business Administration, Accounting, Economics, International Trade, or a related field;
  • Experience with SAP PRD;
  • Previous experience in treasury operations, cash flow management, and financial processes;
  • Intermediate to advanced Excel skills;
  • Intermediate to advanced English;
  • Analytical and organized profile, with strong communication, negotiation, and banking relationship management skills;
  • Experience in the international trade (Comex) industry is a plus.

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