Descripción de la oferta
✨ Your talent drives our future Getnet Payments (Global team) is looking for a Financial Manager, based in Boadilla del Monte. Getnet has the aim to consolidate payment businesses around the world through a differential value proposal in a business with great potential, creating the conditions and synergies to compete globally with the major international players in the sector. Based on the unique value proposition and brand value of Getnet in LatAm and Europe, Getnet will be expanding the acquiring franchise to additional markets. Getnet is the largest acquirer in Latam (Argentina, Mexico, Chile, Brazil and Uruguay) and we already operate in Europe. To achieve this goal, we are building a cloud‑based acquiring architecture in which products are built based on microservices and deployed at all markets simultaneously, shortening time to market and improving value for customers. In order to define and build these products, services catalogue and customer journeys, we aim to attract the best possible talent. Getnet is proud of being an organization where there are equal opportunities regardless of gender identity, culture and disability. Our mission is to contribute to help more people and businesses prosper. What You Will Be Doing We are seeking a highly experienced international financial manager to lead and optimize the Group’s financial management. The role requires deep technical expertise across cash management, funding, FX and interest rate risk management, derivatives, and IFRS‑compliant treasury practices, combined with strong governance, systems, and stakeholder management capabilities. Requirements Minimum 10 years in similar roles; preferably with a strong technical and operational financial management background. Liquidity & Funding Oversee cash and capital management including budgeting, strategic planning and forecasting Prepare monthly liquidity and capital management for senior management Collaborate with jurisdictions in designing and executing effective capital and liquidity structures Structure and negotiate financing facilities, guarantees, and intercompany funding arrangements Provide financial management input for corporate refinancing, and strategic decisions FX & Interest Rate Risk Management Identify, measure, and manage FX and interest rate exposures across the Group Design effective risk management strategies, including evaluation and selection of appropriate derivatives Lead the execution and control over such derivatives Processes, Controls & Systems Define and maintain Group financial (risk) management policies in line with EU regulatory & Santander requirements, internal controls, and audit standards Lead and assure consistency and effectiveness of internal controls across treasury operations, related to both the core acquiring process as well as the Group’s own liquidity Drive process harmonisation and automation across the Group, building a sound and efficient operating model Specifically, design and implement automated liquidity and capital reporting with deep insights into core payment operations Risk & Compliance Ensure compliance with European banking regulations, tax and related legal implications Act as primary contact for internal and external auditors, legal, tax, risk and compliance functions Ensure proper financial risk management including controls and reporting Governance Lead and collaborate with local & Santander financial management teams Partner closely with Finance, Accounting, Tax, Legal, Risk, Compliance globally Ensure governance aligns with IFRS reporting, risk appetite frameworks, and Group’s financial strategy Availability to travel. What We Offer Medical insurance Dental insurance Wellhub Life insurance Annual healthcare Transportation allowance Meal voucher/food voucher Profit sharing program Access to self‑development programmes Hybrid collaborative environment: Successful candidate must be prepared to work 60% on site Next step Apply and if you know someone who might be looking for this opportunity, share it. #J-18808-Ljbffr