Treasury SR Specialist - South Cone (LATAM)
1 нед. назад
ArgentinaLATAMSeniorOnsite
foreign exchangecash managementbankingcompliancenegotiation
Manage strategic banking relationships and optimize foreign exchange and cash management in the South Cone region.
Требования
- Bachelor’s degree in Business Administration, Accounting, Economics, or related fields.
- Proven experience in Cash Management, Treasury, Governance and regional Banking Operations.
- Advanced English and Spanish for effective communication with global and regional stakeholders.
- Strong analytical profile, with solid communication skills, decision-making capability, and problem-solving orientation.
- Previous experience coordinating multicultural teams and operating across different Latin American countries.
- Ability to implement process improvements and automation, ensuring efficiency and governance in banking operations.
Будет плюсом
- Experience in fintechs, digital banks, or high-growth companies.
- Participation in banking integration projects, M&A audits, or the structuring of new legal entities.
- Experience with offshore operations and global treasury processes.
- Knowledge of financial risk management and treasury internal controls
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Другое
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- At , you’ll help expand access to payments and technology in some of the world’s most dynamic markets. We’re a unicorn-status fintech, AI-powered, and scaling fast across 29 countries and counting.
- Our platform connects leading global companies to more than 1 billion consumers, enabling seamless cross-border payments where it matters most. We build with purpose, move with speed, and create solutions that are both innovative and inclusive.
- If you’re looking to be part of a company that’s transforming the future of payments with clarity, ambition, and real-world impact — we’d love to meet you.
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- Leading and managing strategic relationships with local and international banks and FX providers across the South Cone, acting as ’s key representative.
- Identifying opportunities to optimize FX efficiency, cash flow, liquidity levels, and fund sweepings in partnership with the HQ Cash Management team.
- Ensuring governance, internal controls, and full compliance with local regulatory requirements.
- Conducting commercial negotiations to reduce banking fees, optimize FX spreads, and improve service quality.
- Maintaining an in-country presence through regular visits and face-to-face meetings with banking partners.
- Supporting Country Managers with a holistic banking and acquirer strategy, contributing to total COGS reduction.
- Supporting commercial teams by explaining FX and anticipation offerings to merchants.
- Partnering with HQ on capital structure strategies, including dividends, credit lines, and anticipation solutions.
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- A challenging environment, with opportunities to grow;
- Spanish, English or Portuguese language classes;
- Education: budget for long courses;
- Skills: budget for workshops and courses;
- Flexible: Birthday Day Off
- Health: Health and Dental Insurance, with subsidy for dependents, and medicine subsidy for ebankers.
- Follow us on LinkedIn and check out our Instagram to learn more about the #ebanxlife.
- Learn more about our #ebanxlife on LinkedIn and Instagram , and see what it’s like to be part of a global team that breaks barriers, creates opportunities, and celebrates every achievement together.
- ✨ An Out Of The Ordinary career is waiting for you here!
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