




Job Summary: Responsible for identifying, analyzing, and mitigating market, operational, logistical, contractual, and regulatory risks, supporting strategic decision-making. Key Highlights: 1. Market, credit, and trading operations risk management 2. Contribution to governance, internal controls, and compliance 3. Support to the executive board with managerial reports and analyses **None:** RESPONSIBILITIES Responsible for identifying, analyzing, monitoring, and mitigating market, operational, logistical, contractual, and regulatory risks, supporting decision-making in procurement, sales, financing, foreign exchange, and international contracts. Manage credit and market risks, assess foreign exchange exposure, and support hedging strategies. Contribute to strengthening governance, internal controls, and compliance by preparing managerial reports and analytical support for the executive board. REQUIREMENTS Bachelor’s degree in Administration, Economics, Engineering, Accounting, International Trade, International Relations, or related fields Prior experience in risk management, market, credit, or trading operations Intermediate or advanced English proficiency Spanish is a plus KNOWLEDGE Trading operations, import/export, and logistics chain Financial analysis, cash flow, and operational margin Risk, credit, market, and compliance management Foreign exchange, financial instruments, and basic hedging concepts Reading and analysis of commercial contracts Excel and/or Power BI BENEFITS Life Insurance Meal Voucher Health Plan TotalPass Pharmacy Benefit Baby Kit is Gold **None:** None


