Academic Background
- Bachelor’s degree in Economics, Public Accounting, Finance, or Engineering.
- Master’s in Finance.
- PhD in Finance (Desirable).
Knowledge:
- Stock Market Operations.
- Structuring and Analysis of Securitizations, as well as Securities Issuance.
- Management of financial indicators (Liquidity, indebtedness, and solvency).
- Asset and Company Valuation under Net Present Value methodologies.
- Finance to assess the management of working capital and short to medium-term leveraging of companies.
- Process and characteristics of Digital Asset Issuance.
- Debt Structuring Process, under its various modalities (Tokens, Bonds, Securities Issuances, among others).
- Management of characteristics and Valuation Tools for Fixed Income Instruments (bonds, issuances, among others).
Experience:
More than 4 to 6 years of experience in any of the following roles or areas of expertise:
- Stock Market Operations.
- Asset and Company Valuation under different methodologies.
- Financial Indicator Analysis.
- Management of characteristics and Valuation Tools for Fixed Income Instruments (bonds, issuances, among others).
- Debt Structuring Process, under its various modalities (Tokens, Bonds, Securities Issuances, among others).
Competencies:
- Advanced English proficiency is required.
- Availability to work flexible hours.
- Used to working under goal-oriented environments.
- Teamwork skills.
- Strong verbal and written communication skills.
- Adaptability.
- Proficiency in using IT tools.
- Critical thinking and problem-solving abilities.