Skip to content
← Back to job listings

Treasury Manager

Martini Meat S/A Armazéns Gerais · São Paulo, Brazil

Corporate Finance / InvestmentManager LevelExternal listingfull-timeabout 16 hours ago

About The Role

We are excited to provide you with opportunities to grow.

Responsabilities

  • Consolidate the financial information from all group companies to ensure accuracy and completeness in cash positioning and Accounts Receivable’s reporting.
  • Partner with regional finance teams to monitor and improve DSO performance, strengthen collection processes and reduce overdue receivables.
  • Partner with regional finance and business leaders to ensure alignment on cash flow forecasting, working capital initiatives and treasury processes.
  • Identify opportunities for improving Treasury processes, performance (including working capital) and reporting efficiency, recommending and implementing solutions as needed.
  • Support the Company’s capital structure strategy by evaluating financing alternatives, investment opportunities, and new equity deployment decisions in alignment with business objectives.
  • Manage the Company’s debt portfolio and funding strategy, including new loans negotiations and refinancing initiatives.
  • Ensure compliance with all debt agreements, treasury policies, and financial covenants, proactively identifying risks and coordinating corrective actions when required.
  • Develop treasury team members while promoting best practices, process standardization, and Company´s culture across the treasury function.
  • Focus on automation of processes, streamlining of the local activities, evaluation and implementation of AI solution where applicable
  • Modelling of Financial Instruments (Debt, Derivatives, Investments)

Job Profile

  • Education : Bachelor’s in economics / business / accounting / engineering or similar
  • Required Experience: 8 to 10 years of relevant Finance and Treasury experience, preferably in companies with multiple country operations

Technical Knowledge

  • Cash Flow forecasting and management
  • Credit and Collection
  • Relevant experience in Treasury and Finance reports
  • Debt Management
  • Financial Covenants monitoringFinal del formulario
  • Financial Risk Management, Derivatives, Hedges

Other skills

  • Excel expert user
  • VBA / Python / R codes are a “plus”
  • Critical thinking
  • Analytical skills
  • Solutions oriented
  • Works well under time pressure
  • Team player
  • Multi-Cultural exposure is a plus

Languages

  • English (fluent) / Spanish (advanced)
  • Let's redefine the future of the cold chain in Latin America together!
  • We are looking for you!

This is an external listing. JobSpring does not represent or verify the employer. Report this listing