We work with the purpose of potentiating success stories. We are transforming the Latin American e-commerce ecosystem and helping thousands ( 100,000) of brands to be successful selling and managing their businesses online.
Our platform allows the complete management of an online business, considering product exposure in different sales channels, integration with payment solutions, logistics, marketing and other solutions.
Our culture allows this whole system to be built by a spectacular team that has the opportunity to face new challenges every day, seeking to be the best professional version with each new project, new challenge and new idea.
We are building the best e-commerce technology for SMEs in Latin America with high performance teams (+1000 people), with each person potentiating their successful career within Nuvemshop Tiendanube.
In this journey, we enhance the success stories of the entire ecosystem together.
We are venture backed by the finest investors, including Kaszek Ventures, Accel, Tiger, Insight, and Alkeon. We have offices in Brasil (São Paulo), Argentina (Buenos Aires) and México (Ciudad del Mexico) and remote collaborators in other regions.
What do we expect from our Head of Treasury?
Serve as the CFO's strategic partner for various matters such as investments, cash management and risk management.
Develop and approve our investment policy;
Lead the cash allocation process;
Maintenance of the investment portfolio;
Centralization of the relationship with banks in several countries : United States, Brazil, Argentina, Mexico and eventual new geographies;
Structuring operational cash management processes, supervising the operations of each country and supporting them with the necessary funds to ensure business continuity;
Leading accounts payable and receivable teams, ensuring that each of our partners and suppliers receive their payments on time;
Issue different reports according to business needs;
Collaborate in the budget process;
Collaborate with M&A processes and later on integration;
Bachelor’s degree in economics, accounting, finance or relevant field;
Demonstrated experience as treasurer or in a relevant financial management position;
Deep understanding of finance and treasury activities, including banking, cash and liquidity management, and capital markets;
Fluency in english;
Exceptional communication and leadership skills;
Ability to constantly prioritize and adapt to business needs.
MBA or CFA;
Geographically diverse experience, specially in USA, Argentina and Brazil;
Knowledge of Portuguese.
Monthly update of the gross salary based on the evolution of the CCL dollar (counted with settlement), inflation or a combination of both variables in equal parts, depending on your preference;
Semi-annual performance adjustments;
15 working days of vacation per year available proportionally from the first day of work;
Health coverage OSDE 310 for the family group (spouse + children);
Portuguese classes 100% covered. In addition, in case you want to take it, we cover the entire cost of the Proficiency exam (CELPE) of the Brazilian Ministry of Education;
Time flexibility and possibility of remote work;
Family leave extended to 21 calendar days for people who are not pregnant or adoptive;
A free Tiendanube for you or someone close to you;
Discounts on Coderhouse courses.