Analista de Equities (Buy Side)

Perfil do Empregador

A Gap Asset foi fundada em 1996, sendo pioneira no mercado de assets independentes. A gestora é composta de profissionais altamente qualificados e com larga experiência no mercado financeiro com cerca de R$ 2 bi sob gestão, possuindo forte cultura de partnership.

Estamos buscando alguém com interesse em análise de empresas na área de renda variável da gestora.

Responsabilidades de Trabalho

Análise de setores e empresas listadas no Brasil ou no exterior;

Qualificações

  • Experiência como analista de equities, seja buy side ou sell side;
  • Fluente em inglês;
  • Conhecimento em programação desejável;
  • Certificação CFA desejável.

Contato

Interessados enviar CV para curriculo@gapasset.com.br com assunto “Vaga – Analista de Equities”.

Associate Accountant (Derivatives)

Perfil do Empregador

The United Nations Secretary-General is responsible for the investment of the assets of the United Nations Joint Staff Pension Fund (UNJSPF). The Secretary-General has delegated this responsibility to the Representative of the Secretary-General for the investment of the assets of the UNJSPF (RSG). The RSG is, in turn, assisted in this function by the Office of Investment Management (OIM). OIM manages a $86+ billion multi-asset class, global investment portfolio, about 85% of which is actively managed in-house. Asset classes under management comprised of global equities, fixed income, foreign exchange, private equity, real estate, infrastructure, timber and commodities. OIM’s staff are all based in New York and come from over 30 countries. For more information, please visit OIM's website at https://oim.unjspf.org/.

This position is located in the Risk and Compliance Team of OIM. The incumbent reports to the Chief, Risk and Compliance.

Responsabilidades de Trabalho

Within delegated authority, the Associate Accountant will be responsible for the following duties:

  • Reviews, approves, reconciles and processes a range of derivative and margin trading transactions on a regular and recurring basis.
  • Approves/Confirms proposed margin calls in accordance with the Financial Regulations and Rules of the UNJSPF.
  • Reviews reconciliation’s and of derivative and margin trading transaction between general ledger, custodian sub-system, Bloomberg AIM, market intermediaries during the year and prepares adjusting entries as required before preparation of financial statements.
  • Work with front office and risk team to evaluate eligibility for effective hedge accounting treatment and documentation.
  • Assists with the preparation of cash-flow statements for multiple accounts on a monthly basis.
  • Reviews and evaluates financial reports from custodian sub-system, Bloomberg AIM, and market intermediaries with a view to identifying anomalies and unusual trends. Initiates corrective actions.
  • Monitors, analyses, reviews and approves transactions for cash payment, entry into the accounting system including SWIFT messages.
  • Assists in the development of operating policies.
  • Assists in ensuring that accurate and complete accounting, reporting and internal control systems are functioning and that all relevant records are maintained.
  • Plans and works with the Systems Support Section, in the installation and administration of accounting systems.
  • Researches and analyses information needed to respond to audit findings.
  • Supervises staff as required.
  • Performs other related duties as required.

Qualificações

  • Professionalism: Knowledge of accounting principles, procedures and standards. Ability to apply conceptual, analytical and evaluative skills in accounting operations. Ability to conduct independent research and analysis, identify issues, formulate options and make conclusions and recommendations. Shows pride in work and in achievements; demonstrates professional competence and mastery of subject matter; is conscientious and efficient in meeting commitments, observing deadlines and achieving results; is motivated by professional rather than personal concerns; shows persistence when faced with difficult problems or challenges; remains calm in stressful situations. Takes responsibility for incorporating gender perspectives and ensuring the equal participation of women and men in all areas of work.
  • Teamwork: Works collaboratively with colleagues to achieve organizational goals; solicits input by genuinely valuing others’ ideas and expertise; is willing to learn from others; places team agenda before personal agenda; supports and acts in accordance with final group decision, even when such decisions may not entirely reflect own position; shares credit for team accomplishments and accepts joint responsibility for team shortcomings.
  • Accountability: Takes ownership of all responsibilities and honours commitments; delivers outputs for which one has responsibility within prescribed time, cost and quality standards; operates in compliance with organizational regulations and rules; supports subordinates, provides oversight and takes responsibility for delegated assignments; takes personal responsibility for his/her own shortcomings and those of the work unit, where applicable.

Education

  • A first-level university degree in business administration, finance, accounting or related field. Certification such as Certified Public Accountant (CPA), Chartered Accountant (CA), Chartered Financial Analyst (CFA) or equivalent is desirable.

Work Experience

  • A minimum of two years of progressively responsible experience in accounting, finance, budget, administration is required.
  • Minimum 1 year of meaningful industry experience with hands-on experience in derivative/margin trading products is required.
  • Working knowledge of derivative instruments including repos, TBAs, and foreign exchange forwards is required.
  • Hedge accounting experience is desirable.
  • Knowledge of derivatives transactions related agreements such as ISDA and MSFTA is desirable.

Languages

  • English and French are the working languages of the UN Secretariat. For this position, fluency in English is required. Knowledge of another UN official language is desirable.

Contato

https://careers.un.org/lbw/jobdetail.aspx?id=167105&Lang=en-US

Accountant (Derivatives)

Perfil do Empregador

The United Nations Secretary-General is responsible for the investment of the assets of the United Nations Joint Staff Pension Fund (UNJSPF). The Secretary-General has delegated this responsibility to the Representative of the Secretary-General for the investment of the assets of the UNJSPF (RSG). The RSG is, in turn, assisted in this function by the Office of Investment Management (OIM). OIM manages a $86+ billion multi-asset class, global investment portfolio, about 85% of which is actively managed in-house. Asset classes under management comprised of global equities, fixed income, foreign exchange, private equity, real estate, infrastructure, timber and commodities. OIM’s staff are all based in New York and come from over 30 countries. For more information, please visit OIM's website at https://oim.unjspf.org/.

This position is located in the Risk and Compliance Team of OIM. The incumbent reports to the Chief, Risk and Compliance.

Responsabilidades de Trabalho

Within delegated authority, the Accountant will be responsible for the following duties:

  • Monitors and reviews/evaluates derivative transactions from instruction receipt through data entry and validation as well as monitoring cash / securities collateral related to margin calls. Identifies problem transactions and irregularities in related transactions, resolving them in a timely and effective manner.
  • Approves/Confirms margin calls in accordance with the Financial Regulations and Rules of the UNJSPF.
  • Reconciles investment transaction between general ledger, custodian sub-system, Bloomberg AIM, market intermediaries and core data sets.
  • Ensures that accurate and complete accounting, reporting and internal control systems are implemented and functioning and that all relevant records are maintained for derivative, and margin trading transactions.
  • Works with front office and risk team to evaluate eligibility for effective hedge accounting treatment and documentation.
  • Assists, prepares or consolidates financial statements for inclusion in the UNJSPF IPSAS Financial Statements to be audited. Responds to internal/external audit observations.
  • Provides authoritative interpretation of requirements for handling transactions.
  • Coordinates and supervises transaction processing of investment transactions.
  • Monitors, analyses, reviews and approves transactions for cash payment, entry into the accounting system including SWIFT messages.
  • Defines requirements and works with front office, IT and custodian with respect to production of relevant reports and keep management apprised of key developments by preparing special reports.
  • Participates in the development of operating policies.
  • Provides information needed to respond to audit findings.
  • Performs other related duties as required.

Qualificações

  • Professionalism: Knowledge of accounting principles, procedures and standards. Ability to apply conceptual, analytical and evaluative skills in accounting operations. Ability to conduct independent research and analysis, identify issues, formulate options and make conclusions and recommendations. Shows pride in work and in achievements; demonstrates professional competence and mastery of subject matter; is conscientious and efficient in meeting commitments, observing deadlines and achieving results; is motivated by professional rather than personal concerns; shows persistence when faced with difficult problems or challenges; remains calm in stressful situations. Takes responsibility for incorporating gender perspectives and ensuring the equal participation of women and men in all areas of work.
  • Teamwork: Works collaboratively with colleagues to achieve organizational goals; solicits input by genuinely valuing others’ ideas and expertise; is willing to learn from others; places team agenda before personal agenda; supports and acts in accordance with final group decision, even when such decisions may not entirely reflect own position; shares credit for team accomplishments and accepts joint responsibility for team shortcomings.
  • Accountability: Takes ownership of all responsibilities and honours commitments; delivers outputs for which one has responsibility within prescribed time, cost and quality standards; operates in compliance with organizational regulations and rules; supports subordinates, provides oversight and takes responsibility for delegated assignments; takes personal responsibility for his/her own shortcomings and those of the work unit, where applicable.

Education

  • Advanced university degree (Master’s degree or equivalent) in business administration, finance, accounting or related field. A first-level university degree in combination with qualifying experience may be accepted in lieu of the advanced university degree. Certification such as Certified Public Accountant (CPA), Chartered Accountant (CA), Chartered Financial Analyst (CFA) or equivalent is desirable.

Work Experience

  • A minimum of five years of progressively responsible professional experience in accounting, finance, budget, administration is required.
  • Minimum 3 years of meaningful industry experience with at least 1 years of hands-on experience in derivative products is required.
  • Working knowledge of derivative instruments including repos, TBAs, and foreign exchange forwards is required.
  • Hedge accounting experience is required.
  • Knowledge of derivatives transaction related agreements such as ISDA and MSFTA is desirable.

Languages

  • English and French are the working languages of the UN Secretariat. For this position, fluency in English is required. Knowledge of another UN official language is desirable.

Contato

https://careers.un.org/lbw/jobdetail.aspx?id=167204&Lang=en-US

Risk Officer (Derivatives)

Perfil do Empregador

The United Nations Secretary-General is responsible for the investment of the assets of the United Nations Joint Staff Pension Fund (UNJSPF). The Secretary-General has delegated this responsibility to the Representative of the Secretary-General for the investment of the assets of the UNJSPF (RSG). The RSG is, in turn, assisted in this function by the Office of Investment Management (OIM). OIM manages a $86+ billion multi-asset class, global investment portfolio, about 85% of which is actively managed in-house. Asset classes under management comprised of global equities, fixed income, foreign exchange, private equity, real estate, infrastructure, timber and commodities. OIM’s staff are all based in New York and come from over 30 countries. For more information, please visit OIM's website at https://oim.unjspf.org/.

This position is located in the Risk and Compliance Team of OIM. The incumbent reports to the Chief, Risk and Compliance.

Responsabilidades de Trabalho

Under the overall supervision of the Chief, Risk and Compliance, the incumbent will perform the following duties:

  • Manages of risk of derivatives, TBAS and establish limits for the positions.
  • Analyses of collateral requirements and daily monitoring of the positions using stress test models to estimate margin requirements.
  • Ensure accurate and complete review of the risks arising from forwards, futures, TBAs and any other type of derivative
  • Ensure that implementation of the derivatives project is successful supporting the risk group and oversee implementation of credit/counterparty module system.
  • As an active member of the derivatives working group representing risk, provides guidance on contracts with counterparties, risk processes and procedures and other documentation in collaboration with legal, operations, investments and other teams.
  • Prepare guidelines and policies related to derivative transactions.
  • Establish a dashboard for the monitoring of the positions.
  • Prepare risk opinions for material derivative transactions, collateral management and other related topics.
  • Advice and guide on the proper processes OIM needs to follow when implementing and using derivatives as risk management tool.
  • Develop or introduce internal or external methodologies to support risk assessment as appropriate
  • Under the supervision of the Chief Risk and Compliance officer, produces and implements a comprehensive credit risk monitoring mechanism for the investments and provide oversight as second line of defense
  • Periodically reviews derivative positions, counterparty risk and collateral requirements.
  • Represents the Organization at inter-agency meetings, seminars, etc. on substantive-relative issues as instructed by the Deputy Director for Risk and Compliance Service.
  • Participates in international, regional or national meetings and provide programmatic/substantive expertise on derivatives, or holds programmatic/substantive and organizational discussions with representatives of other institutions.
  • Caries out other tasks as may be assigned by the Chief Risk and Compliance officer.
  • Contribute to the weekly, monthly, quarterly and annual management and external reporting on the risks in the Fund.
  • Mentoring, guiding, and training new team members.

Qualificações

  • Professionalism: Knowledge and experience of investment risk measurement and derivatives. Knowledge and understanding of theories, concepts and approaches relevant to this field. Ability to identify issues, analyze and participate in the resolution of issues/problems. Ability to conduct data collection using various methods. Conceptual analytical and evaluative skills to conduct independent research and analysis, including familiarity with and experience in the use of various research sources, including electronic sources on the internet, intranet and other databases. Ability to apply judgment in the context of assignments given, plan own work and manage conflicting priorities. Shows pride in work and in achievements; demonstrates professional competence and mastery of subject matter; is conscientious and efficient in meeting commitments, observing deadlines and achieving results; is motivated by professional rather than personal concerns; shows persistence when faced with difficult problems or challenges; remains calm in stressful situations. Takes responsibility for incorporating gender perspectives and ensuring the equal participation of women and men in all areas of work.

  • Teamwork: Works collaboratively with colleagues to achieve organizational goals; solicits input by genuinely valuing others’ ideas and expertise; is willing to learn from others; places team agenda before personal agenda; supports and acts in accordance with final group decision, even when such decisions may not entirely reflect own position; shares credit for team accomplishments and accepts joint responsibility for team shortcomings.

  • Planning & Organizing: Develops clear goals that are consistent with agreed strategies; identifies priority activities and assignments; adjusts priorities as required; allocates appropriate amount of time and resources for completing work; foresees risks and allows for contingencies when planning; monitors and adjusts plans and actions as necessary; uses time efficiently.

Education

  • Advanced university degree (Master's or equivalent) in Business Administration (MBA), Finance, Economics, Mathematics or related field is required. A first level university degree in combination with academic qualifications and experience in investment/risk management may be accepted in lieu of the advanced degree. Additional relevant professional qualifications (e.g CFA, CQF) is desirable.Work Experience
  • A minimum of seven years of progressively responsible experience working in investment management institutions is required.
  • A minimum of seven years of direct experience with derivatives in an investment, or risk oversight/risk management role is required.
  • Experience with computer languages such as Python, R or Risk Management/Investment platforms, such as Bloomberg or RiskMetrics is desirable.
  • Experience in implementing a derivatives program is desirable.

Languages

  • English and French are the working languages of the UN Secretariat. For this position, fluency in English is required. Knowledge of another UN official language is desirable.

Contato

https://careers.un.org/lbw/jobdetail.aspx?id=171953&Lang=en-US

Analista Middle Office

Perfil do Empregador

Fundada em 2003 pela união de profissionais com grande experiência no mercado financeiro a NEO é um grupo multi em todos os sentidos.

Movidos pelo desafio de contribuir com o futuro, investindo no que realmente acreditamos.

Não só buscamos a melhor performance, mas fazemos da maneira que acreditamos, com foco e sem atalhos. É pelo cliente, pelas empresas e por nós também. Afinal, investimos juntos.

Responsabilidades de Trabalho

  • Desenvolver soluções para automatizar rotinas
  • Realizar as atividades de Middle (ativos e passivos)
  • Pre-matching, allocation e P&L dos fundos
  • Trading de Aluguel e gestão de caixa

Qualificações

  • Inglês avançado
  • Bom raciocínio analítico
  • Cabeça de Dono, Foco no Cliente e Agilidade
  • Lean / Kaizen / KPIs (diferencial)

Formação e Experiência

  • TI e relacionados, Engenharias, Exatas,
  • Administração (Ensino Superior completo)
  • Experiência mín. 1 ano no Mercado Financeiro
  • VBA / SQL / Python

Contato

E-mail para envio de currículos: neo1@neo.com.br
Colocar no assunto do e-mail: “Oportunidade para Analista Middle”

ANALISTA FINANCEIRO JÚNIOR

Perfil do Empregador

FAMA Investimentos é uma gestora de recursos fundada em 1993, que gere fundo de investimentos em ações de companhias brasileiras com visão de longo prazo e alinhadas às boas práticas ESG. A FAMA Investimentos é certificada como uma “B Corp”. Entendemos que o capital humano é fundamental para obter a excelência de nossa atividade. Recentemente conquistamos o reconhecimento "Best for the World" na categoria "trabalhadores" justamente pela ênfase que damos às relações humanas.

A ética é parte fundamental de nossa cultura corporativa. Acreditamos que diálogo e debates qualificados são fundamentais para a boa tomada de decisão e por isso incentivamos a candidatura de pessoas que agreguem visões e experiências diversas. Na FAMA você é bem-vindo independentemente de gênero, orientação sexual, raça, etnia ou deficiência.

Responsabilidades de Trabalho

Suporte à gestão de portfólio e ao time de análise de empresas com reporting e análise quantitativa de dados econômico-financeiros e de portfólio através de elaboração de planilhas e programação. A vaga é para trabalho hibrido, sendo a nossa sede localizada na Vila Olímpia na cidade de São Paulo.

Qualificações

  • Excel : avançado
  • Python e VBA: desejável
  • Sólidos conhecimentos de contabilidade, finanças e matemática financeira
  • Preferência para até três anos de formação em administração de empresas, economia, engenharia ou correlatos
  • Desejável experiência prévia na área

Contato

Envio de CVs para curriculo@famainvestimentos.com.br

Estágio Assistente de Relação com Investidores

Perfil do Empregador

Fundada em 2003 pela união de profissionais com grande experiência no mercado financeiro a NEO é um grupo multi em todos os sentidos.

Movidos pelo desafio de contribuir com o futuro, investindo no que realmente acreditamos.

Não só buscamos a melhor performance, mas fazemos da maneira que acreditamos, com foco e sem atalhos. É pelo cliente, pelas empresas e por nós também. Afinal, investimos juntos.

Responsabilidades de Trabalho

  • Atualização e confecção de relatórios e materiais para clientes.
  • Preparação das demandas e rotinas para clientes.
  • Melhoria dos processos das rotinas internas.
  • Atuação nos fluxos operacionais internos como cadastro, contratos, entre outros.

Qualificações

  • Graduação em Engenharia, Economia, Adm e afins.
  • Formação partir de dezembro/2023
  • Conhecimentos em Excel
  • Proatividade e organização
  • Inglês avançado

Diferenciais:

  • CPA - 20
  • Conhecimento prévio de mercado financeiro.

Contato

Mande um e-mail com título “Estágio Suporte a Relação com Investidores" para: neo1@neo.com.br

Estágio na área de Risco

Perfil do Empregador

Fundada em 2003 pela união de profissionais com grande experiência no mercado financeiro a NEO é um grupo multi em todos os sentidos.

Movidos pelo desafio de contribuir com o futuro, investindo no que realmente acreditamos.

Não só buscamos a melhor performance, mas fazemos da maneira que acreditamos, com foco e sem atalhos. É pelo cliente, pelas empresas e por nós também. Afinal, investimos juntos.

Responsabilidades de Trabalho

  • Geração e acompanhamento dos reports diários de Risco.
  • Desenvolver aplicações para as áreas de Risco e Front.
  • Realizar as atividades rotineiras da área de Risco, dando escala e padrão as mesmas.
  • Auxiliar nas atividades de enquadramento dos fundos.

Qualificações

  • Graduação em Engenharia,Economia, Administração, Contabilidade, Matemática, Estatística, Física ou cursos correlatados. Formação prevista para final de 2022 ou 2023.
  • Excelente raciocínio analítico
  • Conhecimento em matemática financeira e estatística
  • Programação preferencialmente em Python/VBA
  • Queries SQL (preferência SQL Server)

Contato

Mande um e-mail com título "Estágio na área de Risco" para: neo1@neo.com.br

Gerente de Relações com Investidores para Estratégia Corporativa

Perfil do Empregador

Fundado em 1999, o Mercado Livre é a companhia líder na oferta de tecnologia para o comércio eletrônico na América Latina e oferece soluções para que indivíduos e empresas possam comprar, vender, anunciar, enviar e pagar bens e serviços na Internet.

A empresa atende a milhões de usuários, criando um ecossistema online para a negociação de uma ampla variedade de bens e serviços de forma fácil, segura e eficiente. O site mercadolivre.com é a plataforma de consumo com o maior número de visitantes únicos nos países onde opera. Desde 2007, a companhia tem capital aberto na Nasdaq (NASDAQ: MELI) bolsa de valores americana.

O Mercado Livre está presente em 18 países na América Latina e conta atualmente com mais de 10.000 colaboradores.

Responsabilidades de Trabalho

No Mercado Livre estamos democratizando o comércio, o dinheiro e os pagamentos na América Latina.

Em Estratégia Corporativa, trabalhamos constantemente para gerar conhecimentos, apoiando e conectando as equipes do nosso ecossistema. Prestamos suporte a todas as unidades de negócio do Mercado Livre – Marketplace, Marketplace VIS, Mercado Pago, Mercado Envios, Mercado Ads e Mercado Shops – em toda a região. Somos apaixonados por melhorar a experiência dos nossos usuários e o apoio que damos aos vendedores da nossa plataforma para que possamos crescer e alcançar nossos objetivos.

  • Desenvolver relações de confiança com nossos investidores e analistas de sell-side, transmitindo de forma consistente e transparente a estratégia e os resultados do Meli, além de gerenciar as demandas sobre questões de ESG que chegam semanalmente por e-mail ou ligações.
  • Executar os processos trimestrais e anuais de documentação e divulgação junto à SEC e NASDAQ, preparar mensagens-chave e temas atualizados para as apresentações e manter uma relação proativa com a equipe de Relações Públicas para a divulgação de materiais que possam interessar aos nossos investidores.
  • Acompanhar integralmente todas as nossas atividades no escopo ambiental, social e de governança corporativa trimestralmente, em coordenação com as áreas internas para capturar os resultados através de indicadores e status de projetos, além de organizar os indicadores-chave para a comunidade de investidores e fazer a sua gestão proativa da divulgação em relatórios e estruturas externas de consultoria e auditoria, incluindo MSCI, SASB, GRI.
  • Sugerir uma narrativa dos temas ambientais, sociais e de governança corporativa integrada aos demais assuntos de negócio, comunicando-a como uma agenda de decisões comerciais e atuando como ponto focal dentro do time de Relações com Investidores na construção dos relatórios anuais de Sustentabilidade.
  • Desenhar relatórios de acompanhamento de investimentos voltados às iniciativas ESG e de metas corporativas que divulgamos ao mercado, mapeando os comparativos e as melhores práticas de comunicação com os investidores.

Qualificações

  • Ter trabalhado na organização de entregas rotineiras que dependem da coordenação com múltiplas pessoas e da atenção crítica à sincronização e aos prazos, com comunicação clara e estratégica, escrita e verbal.
  • Ter experiência no desenvolvimento de conexões com a liderança das diversas áreas multifuncionais, incluindo Finanças, Recursos Humanos, Relações Públicas e Sustentabilidade, trabalhando em equipe e influenciando os processos e as decisões.
  • Contar com conhecimentos sobre as métricas operacionais do negócio, o demonstrativo de resultados financeiros, o mercado de capitais nos quesitos e os critérios de avaliação de investimentos sob aspectos de ESG.
  • Dominar os idiomas inglês e português, sendo um diferencial possuir conhecimentos de nível intermediário de espanhol.

Contato

https://www.linkedin.com/jobs/view/2872307363/

Especialista em Risco Fiduciário

Perfil do Empregador

O Itaú Unibanco é a maior banco privado do Brasil, a maior instituição financeira da América Latina e uma das maiores do mundo.

Nossa marca é apontada pelo 16º ano consecutivo como a mais valiosa do país, segundo o ranking Interbrand, entre outros importantes reconhecimentos.

Responsabilidades de Trabalho

Responsável pela metodologia e controle de Enquadramento de fundos de investimento para os principais players do mercado de Gestão de Recursos do Brasil, atuando no controle de mais de 4.000 fundos da indústria, com os mais variados tipos de instrumentos financeiros no mercado nacional, internacional e arcabouços legislatório dos principais reguladores e autorreguladores, tais como,  CVM, SUSEP, PREVIC, ANBIMA, entre outros.

  • Análise profunda das legislações pertinentes a fundos e carteiras administradas e discussão com as áreas parceiras para definição das metodologias de enquadramento
  • Representação da Superintendência Fiduciária em diversos Comitês e Grupos de Trabalho
  • Acompanhamento dos projetos de tecnologia relacionados a enquadramento, dando todo o suporte sobre as regras de negócio, bem como identificar oportunidades de melhoria tanto no fluxo como nas execuções das tarefas diárias
  • Suporte aos Gestores da indústria de fundos de Investimentos sobre conceitos legais e metodologia dos controles de enquadramento
  • Treinamento da equipe sobre os temas de legislação, operações e produtos do mercado financeiro.

Qualificações

  • Pacote Office;
  • Noções básicas de programação;
  • Trabalho em equipe;
  • Boa comunicação;
  • Comprometimento;
  • Dinamismo;
  • Atenção Concentrada;
  • Proatividade.
  • Conhecimento da metodologia Ágil será um diferencial

Contato

bruno.kezam-pereira@itau-unibanco.com.br ou/e rafael.leite@itau-unibanco.com.br

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