
Senior Treasury Analyst – Cash Management
Há 17 horas
Why should you join dLocal?
dLocal enables the biggest companies in the world to collect payments in 40 countries in emerging markets. Global brands rely on us to increase conversion rates and simplify payment expansion effortlessly. As both a payments processor and a merchant of record where we operate, we make it possible for our merchants to make inroads into the world's fastest-growing, emerging markets.
By joining us you will be a part of an amazing global team that makes it all happen, in a flexible, remote-first dynamic culture with travel, health and learning benefits, among others. Being a part of dLocal means working with 1000+ teammates from 30+ different nationalities and developing an international career that impacts millions of people's daily lives. We are builders, we never run from a challenge, we are customer-centric, and if this sounds like you, we know you will thrive in our team.
What's the opportunity?We are looking for a Senior Treasury Analyst with a strong focus on Cash Management to join our Finance team. In this role, you will support the daily treasury operations, ensure liquidity, and provide analytical insights that drive strategic financial decisions. You'll play a key role in managing cash flow, optimizing working capital, and supporting our broader financial goals.
What will I be doing?- Execute and monitor daily treasury operations, including cash positioning, funding, and investments;
- Ensure sufficient liquidity to meet short and medium-term financial obligations;
- Develop and maintain cash flow forecasts and liquidity reports;
- Support the implementation of cash management and working capital strategies;
- Analyze financial reserves and investment opportunities, in line with internal policies;
- Prepare treasury reports and dashboards for senior management;
- Identify and mitigate financial risks, including liquidity, credit, and market risks;
- Collaborate with cross-functional teams (Finance, Product, Risk, Compliance) to optimize financial flows and support new initiatives;
- Assist in automating and improving treasury processes and reporting tools;
- Maintain strong working relationships with banks and financial institutions.
- Bachelor's degree in Finance, Economics, Accounting, or a related field;
- Solid experience in corporate treasury, cash management, and short-term investments;
- Previous experience in fintechs, payment institutions, or payment facilitators is required;
- Strong understanding of financial instruments, receivables anticipation, and risk management;
- Advanced analytical skills and ability to interpret large financial datasets;
- Proficiency in treasury systems and financial reporting tools;
- Strong skills in Excel and experience with Python and BI tools (Power BI, Tableau, etc.);
- Fluent in English; Spanish is a plus;
- Self-starter with strong attention to detail, organization, and accountability.
Besides the tailored benefits we have for each country, dLocal will help you thrive and go that extra mile by offering you:
- Remote work: work from anywhere or one of our offices around the globe*
- Flexibility: we have flexible schedules and we are driven by performance.
- Fintech industry: work in a dynamic and ever-evolving environment, with plenty to build and boost your creativity.
- Referral bonus program: our internal talents are the best recruiters - refer someone ideal for a role and get rewarded.
- Learning & development: get access to a Premium Coursera subscription.
- Language classes: we provide free English, Spanish, or Portuguese classes.
- Social budget: you\'ll get a monthly budget to chill out with your team (in person or remotely) and deepen your connections
- dLocal Houses: want to rent a house to spend one week anywhere in the world coworking with your team? We've got your back
- *For people based in Montevideo (Uruguay) applying to non-IT roles, 55% monthly attendance to the office is required
Our Talent Acquisition team is invested in creating the best candidate experience possible, so don't worry, you will definitely hear from us. We will review your CV and keep you posted by email at every step of the process
You can also check out our webpage, but as per formatting rules, links are kept text-only in this refinement and you can follow us on LinkedIn, Instagram, and YouTube for more about dLocal.
#J-18808-Ljbffr
-
Senior Treasury Professional
Há 9 horas
Brasil beBeeTreasury Tempo inteiro R$2.000.000 - R$2.500.000Job DescriptionWe are seeking a highly skilled Senior Treasury Professional to join our team. As a key member of our organization, you will be responsible for planning and supporting financial operations including FI-GL, AP, AR, FI-Bank Accounting with Financial Supply Chain Management (FSCM).You will leverage SAP Treasury and Risk Management, Cash and...
-
Sr Asset and Liability Management Analyst
2 semanas atrás
Brasil RecargaPay Tempo inteiroSr Asset and Liability Management AnalystWe are seeking a Senior Asset and Liability Management Analyst to develop, monitor, and manage cash flow and ALM strategies at RecargaPay. The role focuses on analyzing the balance sheet, supporting fundraising decisions, and mitigating financial risks while collaborating with cross-functional...
-
SAP Treasury
Há 17 horas
Brasil HCLTech Tempo inteiroOverviewSenior Executive - Tech Recruiter at HCL Tech – SAP FICO / S4 with FSCM - Advanced EnglishHCLTech is a global technology company with a presence in 60+ countries, delivering capabilities around digital, engineering, cloud and AI. We work with clients across major verticals and are powered by a diverse, multi-generational talent. Learn more at...
-
Treasury Specialist
1 semana atrás
Brasil Superbet Tempo inteiro US$60.000 - US$80.000 por anoJob Summary Superbet's Finance team is on the rise, and it's an exciting time to become a part of it. We're looking for enthusiastic and skilled professionals. Join us to work with a remarkable team and progress in your Finance career. The successful candidate will thrive in a dynamic and fast-paced environment, contributing to the growth and continuous...
-
Senior Cash Flow Manager
2 semanas atrás
Brasil beBeeAsset Tempo inteiro R$90.000 - R$120.000Asset and Liability Management ProfessionalWe are seeking an experienced Asset and Liability Management (ALM) professional to join our team. The ideal candidate will have a strong background in cash flow analysis, liquidity management, and financial risk assessment.Key ResponsibilitiesDevelop and monitor cash flow projections to support fundraising...
-
SAP Treasury
Há 7 dias
Brasil HCLTech Tempo inteiroAbout HCLTechHCLTech is a global technology company, spread across 60 countries, delivering industry-leading capabilities centered around digital, engineering, cloud and AI, powered by a broad portfolio of technology services and products. We work with clients across all major verticals, providing industry solutions for Financial Services, Manufacturing,...
-
SAP Treasury
1 semana atrás
Brasil HCLTech Tempo inteiroAbout HCLTech HCLTech is a global technology company, spread across 60 countries, delivering industry-leading capabilities centered around digital, engineering, cloud and AI, powered by a broad portfolio of technology services and products. We work with clients across all major verticals, providing industry solutions for Financial Services, Manufacturing,...
-
SAP Treasury
1 semana atrás
Brasil HCLTech Tempo inteiroAbout HCLTechHCLTech is a global technology company, spread across 60 countries, delivering industry-leading capabilities centered around digital, engineering, cloud and AI, powered by a broad portfolio of technology services and products. We work with clients across all major verticals, providing industry solutions for Financial Services, Manufacturing,...
-
Junior Professional, Treasury and Portfolio Management
1 semana atrás
Brasil New Development Bank Tempo inteiro US$40.000 - US$80.000 por anoJob Description: Junior Professional, Treasury and Portfolio Management The Treasury and Portfolio Management Department (TMPD) is responsible for fund raising, liquidity and portfolio management and related functions and is headed by Director General (DG), Treasury and Portfolio Management. Reporting to the Chief, Treasury Division, this position is...
-
Chief Cash Strategist
Há 9 horas
Brasil beBeeCashManagement Tempo inteiro R$90.000 - R$105.000Job Description:This role involves overseeing daily treasury operations, including cash positioning, funding, and investments. Key responsibilities include ensuring sufficient liquidity to meet short and medium-term financial obligations.