joblet.ai
Find JobsNearby JobsJobs for you
Sign inEmployers / Post a Job
joblet.ai

AI-powered job search connecting talent with opportunity.

ELEVEN AI, Inc.
200 Continental Drive, Suite 401
Newark, DE 19713

Product

  • Browse Jobs
  • Job Locations
  • Browse by Companies
  • Post a Job
  • Blog
  • FAQ
  • Jobs Near Me

Company

  • About Us
  • Contact
  • Refer & Earn
  • Explore all pages

Legal

  • Privacy Policy
  • Cookie Policy
  • Terms of Service

Browse jobs by industry

  • AI
  • IT Services
  • Healthcare
  • Manufacturing & Production
  • Supply Chain
  • Infrastructure
  • Transport & Logistics
  • Real Estate
  • Finance & Accounting
  • Consulting
  • Sales & Marketing
  • Hospitality
  • Media & Entertainment
  • Education

© 2026 ELEVEN AI, Inc. joblet.ai is a product of ELEVEN AI, Inc. All rights reserved.

Overview

Company
Contabilizei
Location
all cities, NH 31
Employment type
On-site
  • Director, Energy Innovation and Commercialization (31)
  • Mathematician - Foundations & Formal Proof (AI Training) (31)
  • North American Regional Sales Director (31)
  • Integration Partnership Manager (31)
  • Mechanical Installer (31)
  • REMOTE DIABETES EDUCATOR / REGISTERED DIETITIAN (41)
Back to Jobs
C
ContabilizeiVerified Employer

Business Services & Consulting • all cities, NH 31

[Financeiro] Especialista de Tesouraria (31)

all cities, NH 31On-sitePosted 14 hours ago
Business Services & Consulting

About the Role

Financial Manager

Your mission:

You will be the technical manager responsible for the liquidity management and capital optimization of the company. Your mission involves the elaboration and monitoring of the projected cash flow, the execution of investment strategies in local currency (BRL) and foreign currency (USD/EUR), as well as the mitigation of financial risks through hedge operations and market analysis.

What your daily routine will look like:

  • Maximize the profitability of the available cash (Yield) within the risk policy, through the management and execution of the fixed income portfolio in the local market (CDB, LFT, Debentures).
  • Ensure international financial efficiency, through the execution of applications abroad (Time Deposits, Bonds) and the management of remittances, ensuring tax and operational compliance.
  • Optimize commercial conditions and access to products, through strategic interface and direct negotiation with financial institutions' operations desks.
  • Mitigate exposure to market and currency risks, through the implementation of hedging strategies and derivative operations (NDF, Swap, Options), ensuring the protection of the balance sheet against volatilities.
  • Predict needs for fundraising or surplus of resources, through the elaboration and monitoring of the projected cash flow for short, medium, and long term.
  • Ensure the accuracy of financial planning, through the analysis of deviations between Actual vs. Budgeted, proposing corrective action plans to interfacing areas.
  • Improve the company's financial cycle, through active management of working capital and review of accounts payable and receivable processes from a treasury perspective.
  • Subsidize the decision-making of top management (CFO/Directorship), through the elaboration of financial performance dashboards and risk indicators reports.
  • Ensure the integrity and compliance of financial processes, through the adherence to investment policies and technical support in internal and external audits.

What we are looking for:

  • Degree in Accounting, Economics, Administration, Engineering, or Corporate Finance
  • Solid experience in corporate treasury or financial market
  • Advanced Excel (VBA is a plus) and mastery of ERPs
  • Financial mathematics, banking accounting, and investment taxation
  • Intermediate English

Benefits:

  • Health Plan
  • Dental Plan
  • Online Psychotherapy
  • TotalPass
  • Life Insurance
  • Meal Allowance and Meal Voucher (VA/VR)
  • Discount Partnerships (University and Language Schools)
  • Disregard - Various Insurances
  • No Dress Code
Financial Manager

Your mission:

You will be the technical manager responsible for the liquidity management and capital optimization of the company. Your mission involves the elaboration and monitoring of the projected cash flow, the execution of investment strategies in local currency (BRL) and foreign currency (USD/EUR), as well as the mitigation of financial risks through hedge operations and market analysis.

What your daily routine will look like:

  • Maximize the profitability of the available cash (Yield) within the risk policy, through the management and execution of the fixed income portfolio in the local market (CDB, LFT, Debentures).
  • Ensure international financial efficiency, through the execution of applications abroad (Time Deposits, Bonds) and the management of remittances, ensuring tax and operational compliance.
  • Optimize commercial conditions and access to products, through strategic interface and direct negotiation with financial institutions' operations desks.
  • Mitigate exposure to market and currency risks, through the implementation of hedging strategies and derivative operations (NDF, Swap, Options), ensuring the protection of the balance sheet against volatilities.
  • Predict needs for fundraising or surplus of resources, through the elaboration and monitoring of the projected cash flow for short, medium, and long term.
  • Ensure the accuracy of financial planning, through the analysis of deviations between Actual vs. Budgeted, proposing corrective action plans to interfacing areas.
  • Improve the company's financial cycle, through active management of working capital and review of accounts payable and receivable processes from a treasury perspective.
  • Subsidize the decision-making of top management (CFO/Directorship), through the elaboration of financial performance dashboards and risk indicators reports.
  • Ensure the integrity and compliance of financial processes, through the adherence to investment policies and technical support in internal and external audits.

What we are looking for:

  • Degree in Accounting, Economics, Administration, Engineering, or Corporate Finance
  • Solid experience in corporate treasury or financial market
  • Advanced Excel (VBA is a plus) and mastery of ERPs
  • Financial mathematics, banking accounting, and investment taxation
  • Intermediate English

Benefits:

  • Health Plan
  • Dental Plan
  • Online Psychotherapy
  • TotalPass
  • Life Insurance
  • Meal Allowance and Meal Voucher (VA/VR)
  • Discount Partnerships (University and Language Schools)
  • Disregard - Various Insurances
  • No Dress Code

What You'll Do

Maximize the profitability of the available cash (Yield) within the risk policy, through the management and execution of the fixed income portfolio in the local market (CDB, LFT, Debentures).
Ensure international financial efficiency, through the execution of applications abroad (Time Deposits, Bonds) and the management of remittances, ensuring tax and operational compliance.
Optimize commercial conditions and access to products, through strategic interface and direct negotiation with financial institutions' operations desks.
Mitigate exposure to market and currency risks, through the implementation of hedging strategies and derivative operations (NDF, Swap, Options), ensuring the protection of the balance sheet against volatilities.
Predict needs for fundraising or surplus of resources, through the elaboration and monitoring of the projected cash flow for short, medium, and long term.
Ensure the accuracy of financial planning, through the analysis of deviations between Actual vs. Budgeted, proposing corrective action plans to interfacing areas.

Skills & Technologies

Business Services & Consulting

Similar jobs

Director, Energy Innovation and Commercialization (31)
Crusoe
all cities, NH 31Posted 5 days ago
Mathematician - Foundations & Formal Proof (AI Training) (31)
Alignerr
all cities, NH 31Posted 12 days ago
North American Regional Sales Director (31)
Ametek
all cities, NH 31Posted 9 days ago
Integration Partnership Manager (31)
Apify
all cities, NH 31Posted 22 hours ago
Mechanical Installer (31)
Trew LLC
all cities, NH 31Posted 6 days ago
REMOTE DIABETES EDUCATOR / REGISTERED DIETITIAN (41)
Bass Medical Group
all cities, SC 41Posted 5 days ago
C
Contabilizei
Business Services & Consulting
View all jobs at Contabilizei