Opportunity Description
POSITION SUMMARY
The Finance Analyst – Treasury & Cash Management is responsible for supporting the company’s liquidity management, cash flow monitoring, and daily financial operations. This role ensures the accurate execution of financial transfers, integrity of bank reconciliations, and visibility of short- and medium-term cash positions. The position plays a key role in maintaining a strong financial control environment by processing cash movements between operating accounts, custodial accounts, as well as processing the payments of commissions, claims, surrenders and other counterparties, while providing cashflow projections and ensuring adherence to internal approval processes and controls. In the start‑up phase of the Life & Investment Division, the Finance Analyst is critical in establishing cash management processes, forecasting frameworks, and reconciliation controls to support the September 2026 launch and ensure operational and financial discipline from day on...
Ready to Apply?
Submit your application for Financial Analyst Treasury (Medellín) at Empresa líder
Apply for this Position