Who We Are
At R2, we believe that small and medium businesses are the productive engine of society. Small and medium businesses (SMBs) make up over 90% of companies in Latin America, yet they face a trillion-dollar credit gap. Our mission is to unlock SMBs’ potential by providing financial solutions that are tailored to their needs. We are reimagining the financial infrastructure of Latin America - where SMBs financial needs are satisfied without ever having to go to a bank.
R2 enables platforms in Latin America to embed financial services that SMBs can then leverage (starting with revenue-based financing and buy now pay later for business customers). We are a tight knit team coming from organizations such as Google, Nubank, Uber, McKinsey & Co., Mercado Libre, Globant, J.P. Morgan, Clip, and Ualá. We are backed by world-class investors such as Gradient Ventures (Google’s AI-focused fund), General Catalyst, Y Combinator, Femsa Ventures, PayU, among others.
As a Treasury Manager you will build and lead our Treasury operations and will work closely with our Controllership and Strategic Finance areas. The Treasurer will report to the Head of Finance & Capital Markets and will interact with multiple stakeholders in different countries.
What you’ll work on
- Coordinate and ensure seamless execution of all treasury functions to support the company’s business plan
- Implement cash control and cash management mechanisms across R2
- Manage market and liquidity risk
- Implement and maintain an FX hedging strategy
- Work with Product, Engineering and Data teams to establish payments and collections processes in each country where R2 operates
- Maintain and expand relationships with banks and other financial institutions
- Support credit facilities negotiations and ensure compliance with reporting requirements
- Coordinate with finance and legal departments on projects, tax planning, cash intercompany movements, legal entity capitalization, material intercompany or third-party transactions and agreements
- Support finance teams on budgeting and financial projections
- Partner with finance, product, and engineering teams in the implementation of the ERP system
- Provide support during internal and external audits
- Elaborate reports for internal control and regulatory requirements
- Build and lead the treasury team
Who you are
- At least 6 to 8 years of experience in a similar position at a tech and/or financial institution
- Experience implementing processes and tools for risk and cash management
- Knowledge on financial regulation and on FX hedging strategies
- Experience working at a regional/global company
- Experience building teams
- Degree in business administration, accounting, or engineering
- Excellent written and verbal communication skills in Spanish and English
- Excited about R2’s mission and the challenge of working in a dynamic start-up environment
> Does this position sound like a good fit? Apply at the following link:
https://r2capital.bamboohr.com/jobs/?source=bamboohr