Treasury Specialist

Rapyd

Bogotá ciudad

Presencial

COP 90.000.000 - 150.000.000

Jornada completa

14 días+
Generador de candidaturas

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Descripción de la vacante

Rapyd, a global fintech, is seeking a Treasury Specialist to oversee liquidity, cash flow forecasting, and bank reconciliations across regions. You will drive operational controls, optimize payments, and collaborate with Finance, Payments, and Compliance to align treasury workflows with global strategy.

You will implement automation, analyze FX exposure, support monthly closing, and deliver audit-ready reports.

Formación

  • 3–5 years of progressive experience in corporate treasury, financial analysis, or payment operations.
  • Bachelor’s degree in Finance, Accounting, Economics, Business Administration, or a related field.
  • Advanced skills in Microsoft Excel and financial modeling to analyze diverse scenarios and build precise liquidity forecasts.
  • Hands-on experience navigating Treasury Management Systems (TMS) and electronic banking platforms to manage liquidity and automate workflows.
  • Advanced-Intermediate to Fluent English communication skills (written and verbal) for seamless global collaboration.

Responsabilidades

  • Oversee global cash flow, short-term forecasting, liquidity monitoring, and bank reconciliations.
  • Execute payments with strict controls and regulatory compliance.
  • Monitor merchant settlements across global banking platforms.
  • Track cash balances, FX exposure, funding needs, and settlement cycles.
  • Prepare cash position reports and audit-ready documentation for monthly closings.
  • Collaborate with Finance, Accounting, Payments, and Compliance teams to align treasury workflows with global strategy.
  • Drive automation of treasury processes and scalable workflows.

Conocimientos

English proficiency
Analytical skills
Financial analysis

Educación

Bachelor's degree in Finance or related field

Herramientas

Excel
Treasury Management System (TMS)
Electronic banking platforms

Descripción del empleo

Description

Rapyd has unified payments, payouts and fintech on one worldwide platform, and we’re assembling the world’s best team to liberate global commerce. With offices in Tel Aviv, Amsterdam, Singapore, Iceland, London, Dubai, Hong Kong, LATAM and the U.S., the opportunities at Rapyd are limitless.


We believe in straight talk, quick decisions, strong execution and elegant solutions. Rapyd is where hard work pays off and careers take off. Join us and let’s build the future of fintech together.


Get the tools to grow globally at www.rapyd.net. Follow: Blog, Insta, LinkedIn, Twitter


As a Treasury Specialist you will be responsible for:



  • Liquidity & Cash Management: Oversee daily and monthly global cash flow, short-term forecasting, liquidity monitoring, and bank balance reconciliations to support strategic decision-making.

  • Payment Operations & Control: Execute and manage assigned operational payments with strict adherence to authorization workflows, internal controls, and international banking regulations.

  • Merchant Settlement Execution: Monitor banking cut-off times, validate supporting evidence, and confirm high-precision execution of merchant settlements across global banking platforms.

  • Variable & Exposure Analysis: Track and analyze key treasury variables—including cash balances, FX exposure, funding needs, and settlement cycles—to mitigate operational risk.

  • Financial Closing & Reporting: Prepare cash position reports, settlement analysis, and audit-ready documentation for monthly closing processes.

  • Cross-Functional Collaboration: Partner directly with Finance, Accounting, Payments, and Compliance teams to align local and regional treasury workflows with broader global strategy.

  • Process Automation: Drive continuous improvement by implementing automated workflows and scalable processes within treasury operations.


Requirements


  • Experience: 3–5 years of progressive experience in corporate treasury, financial analysis, or payment operations.

  • Education: Bachelor’s degree in Finance, Accounting, Economics, Business Administration, or a related field.

  • Financial & Analytical Mastery: Advanced skills in Microsoft Excel and financial modeling to analyze diverse scenarios and build precise liquidity forecasts.

  • Treasury Systems Knowledge: Hands-on experience navigating Treasury Management Systems (TMS) and electronic banking platforms to manage liquidity and automate workflows.

  • Languages: Advanced-Intermediate to Fluent English communication skills (written and verbal) for seamless global collaboration.


Nice to Have



  • Experience in high-growth Fintech, Merchant Acquiring, or Cross-Border Payments industries.

  • Familiarity with LATAM regional settlement rails, multi-currency payouts, and FX hedging strategies.


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