Our Financial team ensures CloudWalks financial engine runs safely and efficiently: every cent goes where it should when it should through robust liquidity management and forecasting.
We solve real business problems and our work directly impacts our customers and CloudWalks overall performance.
What Youll Do:
- Support the development of cash flow forecasting models working closely with our data team;
- Track and analyze liquidity ALM and profitability KPIs including benchmarking against market peers;
- Help automate treasury workflows to ensure safe and efficient cash movement;
- Build and maintain dashboards reports and alert systems to support agile financial decision-making.
What Youll Need to Succeed:
- Experience in Treasury ALM Corporate Finance or similar financial roles;
- Solid skills in SQL and spreadsheet modeling (with real-time data and scenario forecasting);
- Understanding of liquidity and capital management within financial institutions;
- Good accounting fundamentals with ability to connect financial statements to forward-looking forecasts;
- Strong communication skills able to turn complex financial data into clear actionable insights for non-financial teams;
- Fluent in Portuguese and advanced English reading/writing.
Nice to Have:
- Familiarity with COSIF accounting standards (Brazilian regulatory framework).
We may use artificial intelligence (AI) tools to support parts of the hiring process such as reviewing applications analyzing resumes or assessing responses. These tools assist our recruitment team but do not replace human judgment. Final hiring decisions are ultimately made by humans. If you would like more information about how your data is processed please contact us.
Required Experience:
IC
Our Financial team ensures CloudWalks financial engine runs safely and efficiently: every cent goes where it should when it should through robust liquidity management and forecasting.We solve real business problems and our work directly impacts our customers and CloudWalks overall performance.What Y...
Our Financial team ensures CloudWalks financial engine runs safely and efficiently: every cent goes where it should when it should through robust liquidity management and forecasting.
We solve real business problems and our work directly impacts our customers and CloudWalks overall performance.
What Youll Do:
- Support the development of cash flow forecasting models working closely with our data team;
- Track and analyze liquidity ALM and profitability KPIs including benchmarking against market peers;
- Help automate treasury workflows to ensure safe and efficient cash movement;
- Build and maintain dashboards reports and alert systems to support agile financial decision-making.
What Youll Need to Succeed:
- Experience in Treasury ALM Corporate Finance or similar financial roles;
- Solid skills in SQL and spreadsheet modeling (with real-time data and scenario forecasting);
- Understanding of liquidity and capital management within financial institutions;
- Good accounting fundamentals with ability to connect financial statements to forward-looking forecasts;
- Strong communication skills able to turn complex financial data into clear actionable insights for non-financial teams;
- Fluent in Portuguese and advanced English reading/writing.
Nice to Have:
- Familiarity with COSIF accounting standards (Brazilian regulatory framework).
We may use artificial intelligence (AI) tools to support parts of the hiring process such as reviewing applications analyzing resumes or assessing responses. These tools assist our recruitment team but do not replace human judgment. Final hiring decisions are ultimately made by humans. If you would like more information about how your data is processed please contact us.
Required Experience:
IC
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