Uma candidatura completa num minuto — currículo personalizado e carta de apresentação, prontos a enviar.
OKTO PAYMENTS in São Paulo, Brazil, is seeking a Treasury & Liquidity Analyst to manage daily liquidity and support the financial stability of the business. The role focuses on cash management, banking relationships, cash flow forecasting, liquidity monitoring, and close collaboration with FinOps, Accounting, and Operations to ensure timely settlements.
You will also lead liquidity optimization efforts, monitor FX settlements, and participate in AI-driven automation initiatives.
OKTO’s continuous growth demands high-caliber candidates who embody professionalism, passion, and creativity. For those who join us, we offer significant career advancement, stimulating challenges, and a clear runway for growth.
OKTO is the next-generation Payment Service Provider — AI-native, precision-engineered, and relentlessly merchant-obsessed. Built for merchants operating in the most complex and demanding eCommerce sectors, our platform goes far beyond transaction processing. We solve for scale, compliance, and performance with one unshakable focus: delivering outcomes that power merchant growth.
From payments and banking to treasury and settlement, we engineer the financial infrastructure that gives our partners a competitive edge. The result? Faster onboarding, smarter operations, and resilient, real-time performance.
At OKTO, we enable merchants to Play Differently, transforming payments from routine transactions into true differentiators that deliver personalized, frictionless experiences.
Our AI-native innovation harnesses data and insight to power every decision, while our proprietary in-house engineering ensures precision and control. Combined with deep, trust-based relationships worldwide, we’re redefining what it means to build, scale, and win in complex digital commerce.
We are looking for a Treasury & Liquidity Analyst to support the company's daily liquidity management, ensuring the availability of funds for financial operations while contributing to the overall financial stability of the business.
This professional will be responsible for cash management, banking relationships, cash flow forecasting, liquidity monitoring, and maintaining close collaboration with the FinOps, Accounting, and Operations teams.