What are we looking for?
We are looking for a Treasury Coordinator based in Santiago Chile. Responsible for coordinating the day-to-day treasury operations of LATAM, driving the automation of bank reconciliations and the improvement of recurring reporting, and providing backup to the Treasury Leader. The role combines hands-on execution with team coordination and continuous process improvement freeing up the Treasury Leader to focus on analysis, presentation quality and strategic matters
What challenges will you face?
Lead the automation of bank reconciliations, designing standardized templates, routines and tools to reduce manual effort, minimize errors and improve traceability.
Improve and maintain recurring treasury reporting (cash position, cash statements, KPIs and dashboards), ensuring accuracy, consistency and timely delivery.
Support the cash management operations of LATAM — cash flow, payments and forecasting — to ensure liquidity within the organization.
Prepare the monthly Sources & Uses inputs and country highlights and support the Treasury Leader in the consolidation and assembly of the monthly cash report on time.
Support the management of guarantees and letters of credit (master file, expirations and follow-up) across LATAM.
Identify process improvement and digitalization opportunities and lead efficiency initiatives within the treasury function.
Help implement treasury policies and procedures, and ensure compliance with internal policies, regulatory requirements and industry best practices.
Collaborate closely with cross-functional teams — including Accounting, FP&A, Shared Services, Tax and Legal — to support corporate initiatives and projects.
Prepare analysis and presentations for management and other stakeholders.
Support the Capital Call process by preparing accurate figures and supporting documentation for review by the Treasury Leader.
Coordinate and supervise the day-to-day work of the Treasury Analyst
Support special projects and other duties as assigned
What specific knowledge do you need?
Solid knowledge of bank reconciliations, cash management, guarantees / letters of credit, banking portals and Treasury Management Systems.
Proven 3-year experience track record in similar positions, preferably within the Energy industry
Finance/Economics degree or a related
What does Atlas offer you?
Belong to a multicultural, inclusive, and diverse environment.
Twenty work days of vacation (which you can take in advance without completing the year) and additional rest days for the end-of-the-year holidays.
Other economic benefits include performance bonuses and food vouchers.
We promote sports with our "In Motion" benefit.
We promote Health and Life with our health and life insurance with high-level coverage.

متخصصون في توريد وتركيب وصيانة جميع أنظمة ومحطات الطاقة المتجددة