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Foundever seeks a treasury professional to manage internal treasury reporting for the LatAm region, including cash forecasting, budgeting, FX risk analysis, and governance of banking portals. The role requires collaboration with local teams and corporate treasury, with focus on accurate forecasts and liquidity reporting.
Hybrid work setup in Bogota, Colombia, and strong English skills are essential. Prior experience in treasury operations and familiarity with Kyriba/SAP/Oracle is a plus.
Manage, coordinate and perform all internal treasury reporting for the Latam region, including consolidated cash forecast and budget, Fx risk forecasting and analysis, I/C analysis, clean-up, reporting, and on-going review to ensure compliance with I/C agreements. POC for local banks as liaison between local teams and corporate, analysis of treasury bank agreements, treasury services optimization for efficiencies in treasury operations, responsible for governance of approval matrix within banking portals, Treasury Workstation and online user maintenance, and all in accordance with legal trade registries, etc. Strong understanding of local treasury accounting principles, local economies, knowledgeable and current on Fx landscape within the country and any local intricacies with respect to foreign currency flows. Actively supports corporate treasury in local hedging processes as applicable.
Continuing and ongoing integration between legacy entities