Latam Treasury Ops Lead (Bogotá)

Latam Treasury Ops Lead (Bogotá)

26 sep
|
Empresa reconocida
|
Bogotá

26 sep

Empresa reconocida

Bogotá

We are seeking a highly analytical and strategic LATAM Treasury Ops Lead to lead our regional treasury activities.
LATAM is a dynamic and complex market requiring proactive liquidity management and rigorous risk mitigation.
In this role, you will be responsible for overseeing regional cash management, executing efficient cash repatriation strategies, managing foreign exchange (FX) exposure, and navigating local capital controls.
You will also lead, manage, mentor, and develop a small regional team of treasury professionals.Key ResponsibilitiesCash & Liquidity ManagementOversee daily cash positioning and liquidity management for all LATAM entities to ensure sufficient operational fundingDevelop and maintain rolling short-term and long-term cash flow forecasts, identifying potential funding gaps or trapped cash risksOptimize the regional banking structure, managing bank relationships, negotiating fees, and ensuring rationalization of bank accountsDrive the implementation of treasury automation and digital solutions to streamline regional operationsDesign and execute efficient cash repatriation strategies (e.g., dividends, intercompany loans, capital reductions) to move excess liquidity back to the Parent.Partner closely with the General Tax, local Finance Operations, and Legal teams to navigate complex local regulatory environments, withholding taxes, and central bank restrictions (especially in highly regulated markets)Monitor local statutory requirements to ensure full compliance when executing cross-border cash movementsIdentify, quantify, and mitigate FX exposure across the region, given the volatility of LATAM currenciesWork with abroad Treasury team to execute FX trades and recommend hedging strategies (e.g.,



forward contracts, options) in alignment with our corporate risk management policies to protect the P&L; and balance sheet from currency fluctuationsAssess and manage counterparty credit risk with regional financial institutionsMonitor macroeconomic and political developments across LATAM that could impact liquidity, currency valuation, or capital mobilityTeam Leadership & Cross-Functional PartnershipDirectly manage, mentor, and develop 2 treasury professionals, fostering a culture of high performance, accuracy, and continuous improvement.Act as the primary Treasury advisor for regional business controllers, FP&A;, Tax, and Legal teamsEnsure rigorous compliance with internal controls, SOX requirements, and corporate treasury policies across all LATAM operationsIdentify projects to continually improve LATAM operations efficiencyQualificationsExperience: 7+ years of progressive corporate treasury/finance experience, with a minimum of 3 years specifically focused on LATAM treasury operationsEducation: Bachelor's degree in Finance, Accounting, Economics, or a related field (MBA or postgraduate degrees are desirable)Language: Fluency in English and Spanish is required; Portuguese is also beneficialTechnical Skills: Deep understanding of LATAM capital controls, FX markets, and cross-border repatriation mechanics.
Proficiency with Tier-1 Treasury Management Systems (TMS) and major ERP platforms (e.g., Oracle, SAP)Leadership: Proven experience managing and developing direct reports will be a plusAttributes: High level of emotional intelligence, candor, and the ability to communicate complex financial mechanics in plain language to non-treasury stakeholders
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📌 Latam Treasury Ops Lead (Bogotá)
🏢 Empresa reconocida
📍 Bogotá

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