Pedro A.
Corporate Banker @ C6 Bank
About
Banker Corporate no banco de atacado da C6 Bank, atendendo os estados do Rio de Janeiro, Minas Gerais (Zona da mata) e Espírito Santo. Tenho MBA em Finanças pelo Ibmec e bacharelado em Ciências Contábeis pela UFRJ.
Brazil
Rio de Janeiro
Financial Services
Microsoft Excel, Relatórios financeiros, Negociação, Commodities, Análise quantitativa, Gestão de relacionamentos empresariais, Desenvolvimento de negócios, Alto grau de iniciativa, Relacionamento com clientes, Comercial, Teste de aceitação de usuários, Requisitos de negócio, Gestão de projetos, Processos empresariais, Gestão de orçamentos, Finanças, Fluxo de caixa, Vendas, Instrumentos financeiros, Melhoria de processos
Experience

Corporate Banker
Brasil
- Atendimento a empresas Corporate com faturamento entre R$300MM a R$8BI/ano; - Gestão da carteira com foco no crescimento de receita e geração de negócios; - Participação em comitês de crédito para defesa de propostas com as presenças de diretores das áreas envolvidas; - Prospecção ativa, visita a empresas, análise técnica e fundamentalista de clientes; - Originação de operações de Capital de Giro, Conta garantida, Desconto, Cessão, Risco sacado, Longo Prazo, CPR e CDCA; - Derivativos (Moedas, Commodities, Índices e Opções); - Operações de Câmbio e Trade Finance (ACC/ACE, NCE/CCE, 4131, Stand-by, FINIMP, Conta Internacional e Câmbio Pronto); - Captação através de CDB, LCI, LCA, LIG, LF e compromissadas; - Oferta de Seguros (Prestamista, Empresarial, Capital Global, D&O, Vida, Imóvel, Crédito e Garantia); - Originação de CASH e Serviços Bancários (Conta Corrente, Escrow Account, BaaS, Conciliação, Cobrança, Pagamentos e Internet Banking); - Cartão de crédito empresarial;

Banker
Rio de Janeiro, Brasil
Assistance to commercial managers, calculations of credit operations, financing of heavy vehicles, operations of assigned CCBs, cards, invoices, Cash management, customer service, preparation of management and accounting reports, provision of support in the development of commercial proposals.

Desk Operator - Treasury Specialist
Rio de Janeiro, Brasil
Opening of the Brazilian payments system (SPB), calculation of credit operations, CCB settlements at B3 and Virtual System, reconciliation and registration of financial assets at B3, opening and closing of the NDF Virtual System, customer service, financial transactions at CFI, purchase and settlement of public and private securities, long-term commitments, settlement of TIBS (interbank tariff), Management at PIX Booths, access to STR WEB, accounting and financial information advice, issuance and redemption of financial applications, negotiations of Overnight operations.

Treasury Trainee
Rio de Janeiro, Brasil
Guanabara Bank Customer service; Purchase and sale transactions of fixed income securities, corporate bonds, government bonds, financial transactions through the SPB and CIP system, calculation of credit operations, debentures, financial investments and other fixed and variable income assets. Assistance in preparing spreadsheets for analyzing economic materials. Negotiations of Over Night operations and financial letters.

Finance Trainee
Rio de Janeiro, Brasil
Customer service, preparation of invoicing, scheduling, issuance, installation and control of digital certificate expirations, controllership and making powers of attorney on the websites of the Federal Revenue, Caixa Econômica and Sefaz, Personal Income Tax, drafting physical and digital contracts, billing, control of office supplies, issuance of bank slips, Rio de Janeiro notes, receipts and tax collection.

Treasury Analyst
Rio de Janeiro, Brasil
Organization of accounting activities, creating billing spreadsheets for sales and purchases made at the institution; Continuous updating of spreadsheets and typing; Merchandise stock management; Cashier; Financial transactions (bank deposits, payments to suppliers and checking current accounts); Control of amounts receivable (credit and debit card, invoices, post-dated checks, etc.); Payment of employees; Bag control; Payment processing, Internal and external audit support; Release of invoices; closing of Parish Accounting monthly.
Education
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