Treasury Manager for Latam

Foundever

Bogotá

Híbrido

COP 133.920.000 - 223.200.000

Jornada completa

Hace 3 días
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Descripción de la vacante

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.

Formación

  • Bachelor’s degree in finance; Masters a plus but not necessary.
  • 4-5 years in treasury function with global aspect.
  • Proficient and clear in English (verbal and written).
  • SAP/Oracle/Kyriba knowledge is a plus.
  • Strong analytical skills and attention to detail.

Responsabilidades

  • Liaison between local treasury/finance teams and corporate treasury.
  • Responsible for accuracy and integrity of cash forecasting for individual countries, and on a consolidated basis.
  • Auditing of treasury processes at local level.
  • Documenting all treasury processes at local level to ensure uniformity and compliance to corporate policies.
  • Manage, mentor, and develop local treasury teams including KPI compliance.
  • Solid understanding of Treasury operations.
  • Monitor and audit disbursement process in every country including IC clearing and coordinating with Corporate Treasury.
  • Support consolidated global liquidity reporting.

Conocimientos

English (C1)
Analytical skills
Attention to detail
Communication skills
Excel
Accounting knowledge

Educación

Bachelor’s degree in finance
Masters degree (preferred)

Herramientas

SAP
Oracle
Kyriba

Descripción del empleo

Job overview

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.

Job Responsibilities:
  • Liaison between local treasury/finance teams and corporate treasury
  • Responsible for accuracy and integrity of cash forecasting for individual countries, and on a consolidated basis to ensure accountability for local forecasts
  • Auditing of treasury processes at local level
  • Documenting all treasury processes at local level to ensure uniformity and compliance to corporate policies, processes framework, and corporate objectives
  • Manage, mentor, and develop of local treasury teams including goal setting, KPI compliance, and overall alignment to corporate framework
  • Solid understanding of Treasury operations
  • Monitor and audit of disbursement process in every country including IC clearing process and coordinating with Corporate Treasury
  • Serve as back up for core corporate Treasury daily liquidity reporting to fill in when corporate team, including updating daily cash positioning for all corporate accounts
  • Provide support on consolidated global liquidity reporting
  • Monitoring and ensuring bank data integrity and accuracy within Kyriba for LatAm reports
  • Troubleshoot and analyze day to day bank movements and queries (internal – users / external – bank request)

Continuing and ongoing integration between legacy entities

Education:
  • Bachelor’s degree in finance, Masters a plus but not necessary.
Experience Target:
  • 4-5 years in treasury function, with global aspect.
  • Highlight the global experience/international company footprint and experience in managing Fx analysis.
Knowledge/Skills/Abilities:
  • Must have proficient and clear dominion of the English language both, verbal and written
  • SAP/Oracle/Kyriba knowledge will be a plus
  • Should have strong analytical skills
  • Attention to detail
  • Should know Microsoft Excel, Word, PowerPoint, Outlook
  • Good written and verbal communication skill is a must
  • Should have overall accounting knowledge
Additional details:
  • Hybrid at Bogota, Colombia Only.
  • Work Schedule M-F 8am-6pm.
  • English level C1 is a must.
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