Treasury Analyst

Acentecom

Argentina

Presencial

ARS 900.000 - 1.300.000

Jornada completa

Hace 9 días
Generador de candidaturas

Una candidatura completa en un minuto — currículum adaptado y carta de presentación, listos para enviar.

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Descripción de la vacante

Acentecom is seeking a Treasury Analyst to own daily cash visibility across multiple brands and entities. You’ll manage cash forecasting, reconciliations, intercompany activity, and working capital to support scalable treasury processes.

You’ll collaborate across banks, payment processors, and currencies, building robust cash models and ensuring accurate bank records while supporting month-end close. Fluent English and strong analytical skills are essential.

Formación

  • 3+ years in treasury, cash management, or related roles.
  • Experience reconciling high-volume payment data across processors/banks.
  • Experience building rolling cash forecasts and working capital reports.

Responsabilidades

  • Maintain an accurate daily consolidated cash position across entities and banking partners.
  • Build and maintain a rolling 13-week cash forecast, flagging changes and risks weekly.
  • Reconcile processor settlements to bank deposits and GL, including timing, reserves, deposits.
  • Track intercompany transfers, keeping balances and schedules current.
  • Prepare payment runs with approved invoices and documentation for approvals.
  • Maintain working capital reporting and cash models as payment terms evolve.
  • Monitor chargebacks and disputes and their impact on cash.
  • Track merchant account health, reserves, processing limits, and anomalies.
  • Maintain bank records across entities including signatories and mandates.
  • Support month-end close with cash and bank reconciliations.
  • Help standardize forecasting and treasury processes for scalable infra.

Conocimientos

Cash forecasting
Cash management
Data analysis
Excel/Spreadsheets
English fluency
Intercompany reconciliations

Herramientas

QuickBooks Online
Adyen
Stripe

Descripción del empleo

As our Treasury Analyst, you will own the day-to-day visibility and accuracy of our cash position across a multi-brand, multi-entity DTC e-commerce business. You’ll make sure we know where our cash is, how it’s moving, and what we expect it to look like ahead, giving the team reliable data to make better financial decisions.

This is a highly hands-on role for someone who is comfortable working across banks, payment processors, legal entities, and currencies. You’ll manage cash reporting and forecasting, processor and bank reconciliations, intercompany activity, payment runs, and working capital while helping us build more scalable and reliable treasury processes.

What You’ll Own
  • Maintain an accurate daily consolidated cash position across all legal entities and banking partners.

  • Build and maintain a rolling 13-week cash forecast, identifying and explaining key changes, risks, and variances week over week.

  • Reconcile payment processor settlements to bank deposits and the general ledger, including settlement timing, reserves, and deposit mechanics.

  • Track and document intercompany transfers across entities, keeping balances, schedules, and supporting documentation accurate and current.

  • Prepare payment runs by gathering approved invoices, scheduling payments, and maintaining clear supporting documentation for approval.

  • Maintain working capital reporting across supplier payment terms, deposits, balance schedules, and cash conversion cycles, updating cash models as terms change.

  • Monitor chargebacks and disputes and maintain clear visibility into their impact on cash.

  • Track merchant account health, including reserve levels, processing limits, and decline patterns, identifying and escalating anomalies early.

  • Maintain accurate bank account records across entities, including signatories, access, and mandates.

  • Support month-end close through accurate and timely cash and bank reconciliations.

  • Help standardize cash forecasting, settlement reconciliation, and treasury processes as we continue building a more scalable financial infrastructure.

What You Bring
  • 3+ years of hands-on experience in treasury, cash management, financial operations, payments reconciliation, or a related role.

  • Strong experience reconciling high-volume transaction data across payment processors, marketplaces, banks, or similar environments.

  • Experience building and maintaining cash forecasts, ideally including rolling short-term cash forecasting.

  • Strong understanding of payment processor settlements, including timing differences, reserves, deposits, and reconciliation.

  • Experience working across multiple legal entities and currencies.

  • Advanced Excel or Google Sheets skills, with the ability to build and maintain reliable financial models rather than simply work from existing templates.

  • Experience with accounting platforms such as QuickBooks Online and payment processors such as Adyen, Stripe, or similar tools.

  • Familiarity with subscription and rebill businesses and the impact of chargebacks, disputes, reserves, and processing performance on cash.

  • Strong analytical skills and attention to detail, with the persistence to investigate discrepancies across multiple systems until they reconcile.

  • A highly proactive and autonomous approach. You’re comfortable identifying issues early, investigating root causes, and driving them through resolution without requiring detailed direction.

  • Strong organizational and communication skills, with the ability to maintain accurate documentation and clearly explain cash movements, variances, and risks.

  • Fluent English.

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