Treasury Specialist - Uruguay
ERON International
Fecha: hace 2 semanas
ciudad: Montevideo, Montevideo
Tipo de contrato: Tiempo completo
Eron International is a global technology hub that helps companies orchestrate, automate, and secure their operations worldwide.
Through our network of integrated PSPs — with over 15 years of cross-border experience and 300+ local payment methods across 40+ countries, we enable clients to manage their entire payment ecosystem and scale globally.
Our solutions in Payment Orchestration, Financial Automation, and Cybersecurity as a Service empower businesses to operate smarter, faster, and safer across markets.
We are looking for a Treasury Specialist to join our team. If you're passionate about numbers, enjoy staying ahead of cash and risk, and love keeping financial operations airtight, this role is for you. You'll manage the company's liquidity and banking relationships while driving smarter, more automated Treasury processes.
Through our network of integrated PSPs — with over 15 years of cross-border experience and 300+ local payment methods across 40+ countries, we enable clients to manage their entire payment ecosystem and scale globally.
Our solutions in Payment Orchestration, Financial Automation, and Cybersecurity as a Service empower businesses to operate smarter, faster, and safer across markets.
We are looking for a Treasury Specialist to join our team. If you're passionate about numbers, enjoy staying ahead of cash and risk, and love keeping financial operations airtight, this role is for you. You'll manage the company's liquidity and banking relationships while driving smarter, more automated Treasury processes.
- Monitor and manage the company's cash position and liquidity on an ongoing basis.
- Build cash flow forecasts and prepare regular Treasury reports.
- Manage and optimize working capital, identifying opportunities to maximize cash surpluses.
- Execute and control local and international payments.
- Manage FX hedging and monitor the company's currency exposure.
- Oversee bank accounts and maintain the operational relationship with banks and other financial providers.
- Manage and track investments and placements of surplus cash.
- Perform bank reconciliations and control banking transactions.
- Analyze and monitor banking costs and rates.
- Develop automations and process improvements across Treasury operations, including using Claude and other AI tools to streamline reports, controls, and workflows.
- Define and track Treasury KPIs, and contribute to digitalization and continuous improvement projects.
- Ensure internal controls are in place and followed, guaranteeing full traceability of all operations.
- Degree in Finance, Accounting, Economics, or a related field.
- Solid experience in Treasury operations, including cash management, FX exposure, and banking relationships.
- Strong Excel skills; experience with Treasury Management Systems (TMS) or ERP tools is a plus.
- Experience with AI-assisted tools (such as Claude) to automate reports and processes is a plus.
- Strong analytical mindset with attention to detail and a focus on financial control.
- Proactive approach to identifying process improvements and driving automation initiatives.
- A global environment with teammates living around the world
- Opportunities in a fast-paced growing company
- A flexible hybrid work model that promotes collaboration while supporting work-life balance
- Be Direct: We communicate openly and honestly, focusing on solutions that move us forward.
- Be Owner: We take full ownership of our projects and decisions, driving results with accountability.
- Be Curious: We challenge the status quo and constantly look for ways to improve.
- Be Hero Leader: We lead by example, inspire others, and make an impact beyond formal roles.
- Take Risks: We embrace calculated risks with courage, learning from every step along the way.
- Be AI First: We leverage AI as a strategic partner to learn faster, streamline processes, and accelerate outcomes.
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