Jeeves

Financial Operations Associate

Jeeves

full-time

Posted on:

Origin:  • 🇧🇷 Brazil

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Job Level

JuniorMid-Level

About the role

  • Treasury and Cash Management: Monitor daily cash balances across multiple bank accounts and geographies. Prepare and update liquidity forecasts to ensure adequate funding for operations. Support optimization of working capital and daily treasury operations.
  • Financial Operations and Analysis: Develop and maintain financial models for cash flow, funding, and scenario planning. Conduct variance analyses between forecasts and actual results, providing insights to management. Prepare dashboards and recurring reports to support decision-making.
  • Cross-Border Payments and Banking: Support execution and reconciliation of cross-border payments. Liaise with partner banks and payment providers to ensure smooth processing. Assist in evaluating and onboarding new financial partners.
  • Data and Systems Management: Maintain treasury and financial data with accuracy and consistency. Automate recurring reporting tasks using Excel (pivot tables, macros) or other tools. Ensure systems and spreadsheets are structured and auditable.
  • Compliance and Regulatory Support: Collaborate with compliance and legal teams to ensure treasury operations meet regulatory standards. Track changes in regulatory frameworks affecting treasury, SPVs, and cross-border operations. Prepare documentation for internal and external audits.
  • Stakeholder Management: Partner with operations, compliance, and legal teams to support end-to-end financial processes. Act as the point of contact for treasury-related questions. Provide ad hoc analysis and presentations to senior management.
  • Continuous Improvement: Identify process inefficiencies and recommend improvements. Support the implementation of new treasury tools, automation, and best practices. Contribute to knowledge sharing and development of SOPs.

Requirements

  • 5+ years of financial operations experience, ideally in fintech, banking, or payments.
  • Strong background in STEM fields (engineering, economics, mathematics, finance).
  • Treasury experience, including cash management, liquidity forecasting, and multi-bank environments.
  • Advanced Excel and data analysis skills (pivot tables, macros, financial modeling).
  • Excellent communication skills in English (written and verbal).
  • Strong problem-solving ability and structured thinking.
  • Comfortable working in fast-paced, cross-border environments.
  • Familiarity with regulatory frameworks, SPVs, or financial structuring is a plus.
  • Ability to collaborate effectively with multiple stakeholders (ops, compliance, legal).