Treasury Analyst - Belo Horizonte

Fraser Alexander Latin America • Belo Horizonte, State of Minas Gerais • Posted July 16, 2026

Position Overview

PURPOSE


This position exists to support treasury management, focusing on cash flow control, financial forecasting, banking relationship and optimization of payment processes mainly. 


 


RESPONSIBILITIES:



  • Organize and consolidate detailed financial data required for the periodically cash flow forecast. This includes segregating operational cash, intercompany transactions, and restricted funds.

  • Prepare and analyze the daily cash position across all bank accounts, ensuring optimal liquidity for operational needs.

  • Develop short-term cash flow projections by analyzing trends in accounts receivable (AR) and accounts payable (AP) cycles to anticipate surpluses or deficits.

  • Perform periodically bank reconciliations for all operating accounts, ensuring the accuracy and integrity of general ledger balances and immediately investigating and resolving any discrepancies or variances...