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Treasury - Cash Management; Senior

Trabajo disponible en: 35180, Ciudad Juárez, Durango, México
Empresa: Vintti
Tiempo completo posición
Publicado en 2026-01-07
Especializaciones laborales:
  • Finanzas
    Gerente/Analista de Riesgos, Finanzas Corporativas, Gerente Financiero, Consultor financiero
  • Gerencia
    Gerente/Analista de Riesgos, Gerente Financiero
Rango Salarial o Referencia de la Industria: 3500 - 4500 USD Mensual USD 3500.00 4500.00 MONTH
Descripción del trabajo
Puesto: Treasury - Cash Management (Senior)
Treasury – Risk Management / Interest Rate Hedging (Senior)

Location:

Remote (LATAM-based candidates only)
Salary Range: $3,500 – $4,500 USD per month

Schedule:

Full-time | ~7–8 hours per day | Aligned to EST
About the Role
We're looking for a Senior Treasury professional with a strong focus on risk management and interest rate hedging to join a growing Treasury team.
This role will support a new risk management initiative led by the Head of Treasury, while also contributing to broader Treasury activities and the use of Kyriba as the company's Treasury Management System.
You'll play a key role in analyzing, monitoring, and executing risk-related strategies, working closely with senior leadership to ensure Treasury risk management aligns with the company's growth plans, capital structure, and funding strategy.

Key Responsibilities
Support interest rate hedging initiatives as part of Treasury's broader risk management responsibilities.
Use Kyriba to monitor and manage positions and transactions related to risk and hedging strategies.
Partner closely with the Head of Treasury on:
Risk analysis
Execution support
Adherence to established frameworks and policies.
Coordinate with Cash Management and Accounts Payable when risk-related decisions have cash or payment implications (e.g. large settlements processed via Kyriba).
Help ensure Treasury risk management activities remain aligned with:
The company's growth trajectory
Capital structure and funding strategy.
Maintain strong standards around accuracy, controls, and documentation in all risk-related work.
Requirements (Must-Have)
4-6 years of experience in Treasury, risk management, or related finance roles with exposure to interest rate or financial risk topics.
Prior experience using a Treasury Management System (TMS):
Ideally Kyriba, either as a user or as part of an implementation.
Strong analytical mindset, curiosity, and attention to detail.
Ability to perform in a fast-paced, demanding environment, managing multiple priorities simultaneously.
Advanced English level (C1/C2 – written and oral).
Nice to Have
CFA designation (not required, but valuable for senior Treasury roles).
Hands-on experience with interest rate hedging instruments or similar risk management tools.
Experience working with Treasury Management Systems in LATAM organizations, especially Kyriba.
Familiarity with construction or renewable energy project cash flows (e.g. solar or infrastructure projects) — beneficial but tra
Requisitos del puesto
10+ años Experiencia laboral
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