
1001 - 5000 employees
💳 Fintech
💸 Finance
🤝 B2B
Fintech • Finance • B2B
Bold is a company that provides digital financial solutions to businesses through its comprehensive payment system. It offers a variety of dataphones (card terminals) for in-person payments, as well as online payment solutions via payment links, buttons, and more. Bold also provides a financial account for businesses to manage their funds, with features such as instant payment reception, pre-approved loans, and business management tools. These services aim to help businesses easily accept payments and grow their operations. Additionally, Bold offers educational resources through its academy and provides robust customer support through various channels. The company is committed to enhancing business operations by simplifying the payment process and offering financial products to support growth.
🔥 0 minutes ago
🗣️🇪🇸 Spanish Required
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1001 - 5000 employees
💳 Fintech
💸 Finance
🤝 B2B
Fintech • Finance • B2B
Bold is a company that provides digital financial solutions to businesses through its comprehensive payment system. It offers a variety of dataphones (card terminals) for in-person payments, as well as online payment solutions via payment links, buttons, and more. Bold also provides a financial account for businesses to manage their funds, with features such as instant payment reception, pre-approved loans, and business management tools. These services aim to help businesses easily accept payments and grow their operations. Additionally, Bold offers educational resources through its academy and provides robust customer support through various channels. The company is committed to enhancing business operations by simplifying the payment process and offering financial products to support growth.
• Gestionar la liquidez, asegurando la disponibilidad de recursos. • Cumplir límites internos y regulatorios. • Generar información necesaria para los reportes regulatorios. • Implementar procesos y sistemas y modelos para la gestión de liquidez. • Mantener actualizada la información de caja y elaborar proyecciones de caja a corto y mediano plazo. • Ejecutar política de inversiones a través de mesa de dinero tercerizada. • Mantener registros oportunos de las operaciones de tesorería. • Realizar cierre diario de tesorería. • Monitorear el cumplimiento del encaje y límites internos y regulatorios. • Apoyar en requerimientos de información para auditorías internas y externas. • Reportar diariamente portafolio de inversiones. • Reportar semanalmente proyecciones de caja para seguimiento de indicadores de liquidez. • Identificar necesidades y fuentes de fondeo con antelación. • Proponer medidas correctivas si se presentan desviaciones sobre lo planificado.
• Profesional en áreas financieras, económicas y administrativas. • Experiencia de más de un año en el sector financiero en posiciones similares, en gestión de liquidez financiera • Deseable Posgrado en finanzas, economía o mercado de capitales y/o certificación de AMV. • Conocimientos específicos: Hojas de datos avanzado (Excel, Google Sheets), analítica de datos.
• Salario competitivo • Bono anual por cumplimiento de objetivos empresariales (acciones o dinero). • Trabajo remoto tiempo completo • Póliza de salud • Apoyo económico para educación • Días libres adicionales a las vacaciones • Bono para salud visual • Bienestar emocional
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