Description
Plano&Plano is seeking a treasury professional to manage corporate and project cash, liquidity, financial operations, funding, loans, bank relationships, reconciliations, cash-flow planning, financing controls, and financial reporting. The role also supports treasury leadership, maintains corporate card policies, develops the team, and promotes compliance and continuous improvement. It is an in-person, Monday-to-Friday position at an office near Butantã subway station in São Paulo, within a real estate development and construction company.
