Remote Treasury Manager (Lanús)

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  • Lanús, Provincia de Buenos Aires
  • Permanente
  • Tiempo completo
  • Hace 1 día
About World Business Lenders (www.wbl.com)World Business Lenders (WBL) provides general purpose short-term real estate collateralized commercial loans to a broad customer base comprised of small and medium sized businesses throughout the United States that lack access to traditional funding. WBL services its loan portfolio and loan portfolios for third parties, specializing in the management of non-performing loan pools and REO.WBL is a U.S.-based company that proudly embraces a fully remote workforceThis opportunity is a Contract/Consultancy position with the flexibility of remote workYour typical working hours will be from 9:00 AM to 6:00 PM Eastern Time, Monday through Friday, though additional hours may be required depending on operational needsExceptional proficiency in both spoken and written English is essential for this rolePlease ensure that resumes are submitted in EnglishOverview:We are seeking a strategic and hands-on Treasurer to lead and optimize our treasury operations in a fast-paced, growth-focused environment. This position extends beyond mere reporting; you will serve as the steward of liquidity, the designer of financing strategies, and a reliable collaborator with leadership. If you excel in overseeing cash flow, enhancing banking relationships, and shaping financial risk strategies—all while enjoying the flexibility and influence of remote work—this opportunity is adecuado for you.Key ObjectivesPerform comprehensive risk management (liquidity, interest rate exposure, investments, ventures)Oversee and optimize daily liquidity management and cash positioningManage company investment activities and treasury planningDevelop and support financing strategies aligned with company growthMaintain and strengthen relationships with banks and rating agenciesEnsure accurate and timely cash position reconciliation and bank reportingImplement and improve treasury controls and proceduresCore ResponsibilitiesManage daily cash flow forecasting and reconciliatio

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