What will I be doing?
- Daily cash flow management and short, medium, and long-term cash forecasting.
- Execution and monitoring of FX operations (spot, forward, NDF, etc.).
- Relationship management with banks and brokers for funding and financial transactions.
- Analysis of FX rate fluctuations and financial impact assessments.
- Structuring and execution of hedge strategies to mitigate financial risks.
- Consolidation and reporting of treasury-related KPIs and financial data.
- Support for internal and external audits related to treasury processes.
What skills do I need?
- Programming skills in SQL and/or Python for data analysis and process automation.
- Advanced Excel skills.
- Enthusiastic, dedicated and willing to learn, conscientious with a “can-do” attitude and a proactive work ethic.
- Enjoy working in teams and feels energized in dynamic environments;
- Possesses good oral and written communication skills for effective dialogue with colleagues and supervisors;
- Intermediate/advanced command of English both written and spoken;
- Bachelor degree in Business Administration, Economy, or related
- Nice to Have:
- Previous experience in treasury, cash flow management, and FX operations.
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What We Do
dLocal started with one goal – to close the payments innovation gap between global enterprise companies, and customers in emerging economies. We have over 900 payment methods, in more than 40 countries.
With the ability to accept local payment methods and facilitate cross-border fund settlement worldwide, our merchants reach billions of underserved consumers in the high-growth markets of Africa, Asia, and Latin America. dLocal offers the ideal payment solutions for global commerce:
Payins: Accept local payment methods
Payouts: Compliantly send funds cross-border
Defense Suite: Manage fraud effectively
dLocal for Platforms: Unify your platform’s payment solution
Local Issuing: Localize payments for your gig-economy workers, suppliers, and partners








