Hire Treasury Analysts
Hire Pre-Vetted Treasury Analysts From Latin America
Hire treasury analysts from Latam to manage cash flow, monitor liquidity and support banking relationships.
+100 more
Treasury Analysts for hire
Every Treasury Analyst in our roster has been individually screened for technical depth, English fluency, and real project experience. You will find specialists across different sub-disciplines and seniority levels, all based in Latin America, working in US time zones, and available for full-time dedicated roles.
Why Hire Treasury Analysts From Latin America?
Treasury Analysts from Latin America help businesses protect liquidity, manage cash flow, and maintain internal controls. They track financial activity, forecast cash needs, and support banking relationships.
These professionals prepare cash reports, assist with reconciliations, and monitor market trends that impact daily operations. Their work supports short-term planning and long-term financial stability.
They're experienced with ERP systems, treasury dashboards, and payment platforms, giving them the tools to act fast and think strategically.
Hiring from Latin America means you gain that financial clarity at a lower rate, while working with analysts who speak your language and share your schedule.
LatamCent
Can Help You
Hire Finance talent in 21 Days
We place vetted finance professionals experienced in financial planning, accounting, budgeting, forecasting, financial reporting, and business analysis.
Payroll & IP Compliance
We handle international payroll, tax documentation, and IP transfer under legally binding agreements aligned with U.S. standards.
Fluent English, Finance Specialists
All candidates speak fluent English and have experience supporting finance teams, improving financial processes, and working with modern ERP and accounting systems.
Get Pre-Vetted Treasury Analysts
Looking for accountants, financial analysts, controllers, or FP&A professionals? We'll send qualified candidates matched to your hiring requirements.
Responsibilities Of Treasury Analysts In SaaS Companies
Cash Flow Monitoring
Monitors daily cash balances across bank accounts and payment platforms supporting subscription collections. Liquidity tracking, variance identification, and short-term projections help ensure sufficient funds to meet active requirements.
Liquidity Planning Analysis
Develops rolling cash projections incorporating revenue timing, vendor obligations, and payroll commitments. Scenario modeling and sensitivity testing inform funding decisions during rapid SaaS growth phases.
Banking Relationship Management
Coordinates communication with banking partners regarding account structures, credit facilities, and payment services. Documentation review and compliance verification maintain smooth treasury operations and covenant adherence.
Risk Management Support
Assesses exposure to foreign exchange movements, interest rate changes, and counterparty concentration. Hedging evaluation and policy alignment strengthen financial stability within subscription-based SaaS organizations.
Our Candidates Are Experienced Treasury Analysts
LatamCent candidates are skillful professionals with excellent English proficiency and impressive work experience.
Junior Treasury Analysts
With 1-2 years of experience, they support daily reconciliations, maintain cash logs, and assist with payment processing and reporting tasks.
Mid-Level Treasury Analysts
At 3-5 years of experience, they manage cash forecasting, support loan management, and provide bank reports to leadership.
Senior Treasury Analysts
With 6-8 years of experience, they analyze liquidity trends, improve forecasting models, and optimize treasury systems.
Lead Treasury Analysts
Professionals with 9+ years guide treasury planning, oversee currency risk, and assist with investment portfolio tracking.
Cost Savings: Hire Treasury Analysts In Latam Vs. USA
Managing treasury functions in-house often involves steep costs. Latin American analysts bring the same analytical skills and platform experience at a lower financial commitment.
They help track inflows and outflows, optimize payment schedules, and reduce idle cash. Their reporting supports smarter cash decisions and planning.
Many have worked in global finance teams and understand cross-border banking workflows. With matched hours and fluent English, collaboration is smooth and productive.
Hiring from Latam gives you dependable treasury insight, without adding pressure to your payroll. You save money and gain financial visibility at the same time.
Salary Comparison for Treasury Analysts
This is an average based on the top 50% of salaries in the region. Top 10% earners usually have higher rates.
Our Process To Recruit & Hire Treasury Analysts In 21 Days In Latam Vs. USA
Kickoff & Search
Sign the agreement, pay the retainer, and your recruitment begins. Our Talent Partners dive into the market to headhunt 1,100–1,700 qualified Finance professionals who meet your job requirements and timezone preferences.
Screening & Evaluation
Our Talent Partners will thoroughly vet candidates through English language tests, personality assessments, and tech capability checks. We conduct interviews to evaluate past work, communication skills, and set expectations.
Selection & Onboarding
You'll assess the top candidates and decide who's right for your team. Once selected, we handle reference checks, legal agreements, and onboarding to payroll. Your new Finance professional is now ready to contribute and integrated into your team.
Discover More Finance Talent In Latam
LatamCent connects US companies with pre-vetted, full-time finance professionals across specialized roles — from bookkeepers and staff accountants to FP&A analysts, controllers, and CFOs. Explore more hiring options below.


