Finance Manager, LATAM, Treasury Operations

Sao Paulo, SP -
Brazil

Category

Job Description
Are you passionate about Latin America and Amazon? Would you love to be a part of the Treasury team who helps to manage the growth of Amazon across the LATAM region?

As the Finance Manager focusing on the LATAM region, you will work with finance teams across the region and cash positioners to monitor funding needs and manage liquidity for regional entities. You will create scalable solutions in our datalake, partner on machine learning forecasting initiatives, and work with our banking partners in region to optimize our banking structure, interest income opportunities through investment, and a variety of credit facilities. You will be working with multiple teams in Treasury, as well as various partners in Tax, Accounting, Legal, and FinOps to drive improvements in Amazon’s cash management in Latin America while supporting tremendous business growth in the region.

The best part? You will be working on a team that has a Day 1 mentality, everyday. We are entrepreneurial, focused on learning and developing talent, and constantly working to improve the vision for a best in class treasury operations organization. If you are passionate about treasury or thinking treasury might be the place to leverage your regionally focused finance skills, please apply!


Key job responsibilities
- Manage liquidity for Amazon entities in Central and South America
- Create strategies for the most efficient uses of Amazon's cash in the region
- Develop relationships with local Finance business partners to align Treasury goals with business operations
- Work with global and regional banking partners to provide best-in-class services to support Amazon's regional business objectives
- Document and improve upon Amazon's Treasury operations and business support in the region

Basic Qualifications


- Experience in tax, finance or a related analytical field
- Bachelor's degree in finance, accounting or related field
- Experience in Treasury, Finance/FP&A, Accounting, or Banking
- Language skills: Advanced English and Portuguese

Preferred Qualifications


- MBA, or CPA
- Experience in creating process improvements with automation and analysis
- Experience in solving complex business challenges by delivering accurate and timely financial models, analysis, and recommendations that have a proven impact on business (e.g., financial savings, operational improvements, or customer benefits)
- Experience in building financial and operational reports/data sets that inform business decision-making
- Treasury workstation experience, ERP knowledge, MS suite, data visualization tools
- CTP