Offer summary
Qualifications:
Minimum of 5 years treasury experience in a bank or regulated financial institution/fintech in Colombia., Deep understanding of regulatory requirements and cash flow controls., Experience with ERP platforms and Treasury Management Systems., Proven ability to build/manage detailed cash flow forecasting models..
Key responsabilities:
- Maintain daily cash flow forecasting model with high accuracy.
- Implement and manage Treasury Management System integrated with NetSuite.
- Design company policies and enforce treasury controls for compliance.
- Ensure timely regulatory reporting and draft relevant procedures.