
Ativa os alertas de emprego por e-mail!
Cria um currículo personalizado em poucos minutos
Consegue uma entrevista e ganha mais. Sabe mais
A fintech company in São Paulo is seeking a financial analyst to track liquidity and profitability KPIs. The ideal candidate will have experience in Treasury or Corporate Finance, strong SQL and spreadsheet skills, and fluency in Portuguese. Responsibilities include supporting cash flow forecasting and automating treasury processes. This role is crucial for agile and efficient financial decision-making.
About CloudWalk:
We are not just another fintech unicorn. We are a pack of dreamers, makers, and tech enthusiasts building the future of payments. With millions of happy customers and a hunger for innovation, we're now expanding our neural network - literally and metaphorically.
Our Financial Strategy team ensures CloudWalk’s financial engine runs safely and efficiently: every cent goes where it should, when it should, through robust liquidity management and forecasting.
We solve real business problems, and our work directly impacts our customers and CloudWalk’s overall performance.
By applying for this position, your data will be processed as per CloudWalk's Privacy Policy that you can read here in Portuguese and here in English.