Acceleration Center - Treasury - Manager - Operate

PwC México

San Pedro Garza García

Presencial

MXN 1.004.400 - 1.339.200

Jornada completa

14 días+
Generador de candidaturas

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Descripción de la vacante

A leading financial consulting firm in Nuevo León is seeking a Treasury Manager to lead financial management consulting services. This role involves developing strategies for capital structure optimisation and managing liquidity. The ideal candidate has over 7 years of experience in finance, 2+ years in team management, and a relevant bachelor's degree. Strong analytical, mentoring, and project management skills are essential. This full-time role allows opportunities for professional growth within a dynamic environment.

Formación

  • 7+ years of professional experience and at least 2 years managing teams.
  • Bachelor's Degree in Accounting, Finance, or related Degree required.
  • Association of Financial Professionals Certified Treasury Professional (CTP) designation is desirable.

Responsabilidades

  • Lead financial management consulting for clients.
  • Develop financial solutions and strategies.
  • Motivate and develop team members.

Conocimientos

Analytical skills
Project management
Mentoring
Conflict resolution

Educación

Bachelor's Degree in Accounting, Finance, or related Degree

Herramientas

Tableau
Alteryx
PowerBI
ERP packages
Financial applications

Descripción del empleo

Acceleration Center - Treasury - Manager - Operate

Join to apply for the Acceleration Center - Treasury - Manager - Operate role at PwC México.

At PwC, our people in finance consulting specialise in providing consulting services related to financial management and strategy. These individuals analyse client needs, develop financial solutions, and offer guidance and support to help clients optimise their financial performance, improve decision‑making, and achieve their financial goals. Those in corporate finance, treasury and commodities at PwC will specialise in providing financial advisory services related to corporate finance, treasury management and commodities. You will work closely with clients to analyse financial needs, develop strategies for capital structure optimisation, manage liquidity and cash flow, and provide guidance on mergers and acquisitions, divestitures, and other financial transactions.

Enhancing your leadership style, you motivate, develop and inspire others to deliver quality. You are responsible for coaching, leveraging team member’s unique strengths, and managing performance to deliver on client expectations. With your growing knowledge of how business works, you play an important role in identifying opportunities that contribute to the success of our Firm. You are expected to lead with integrity and authenticity, articulating our purpose and values in a meaningful way. You embrace technology and innovation to enhance your delivery and encourage others to do the same.

Skills

Examples of the skills, knowledge, and experiences you need to lead and deliver value at this level include but are not limited to:

  • Analyse and identify the linkages and interactions between the component parts of an entire system.
  • Take ownership of projects, ensuring their successful planning, budgeting, execution, and completion.
  • Partner with team leadership to ensure collective ownership of quality, timelines, and deliverables.
  • Develop skills outside your comfort zone, and encourage others to do the same.
  • Effectively mentor others.
  • Use the review of work as an opportunity to deepen the expertise of team members.
  • Address conflicts or issues, engaging in difficult conversations with clients, team members and other stakeholders, escalating where appropriate.
  • Uphold and reinforce professional and technical standards (e.g. refer to specific PwC tax and audit guidance), the Firm's code of conduct, and independence requirements.
Preferred Skills
  • Corporate treasury experience and interest in growing Treasury skillsets.
  • Excellent analytical, communication, and presentation skills.
  • Strong computer skills including knowledge of computer financial applications, ERP packages, and Consolidation and Reporting Systems.
  • Proficiency in Word, Excel, and PowerPoint.
  • Familiarity with Digital Tools such as Tableau, Alteryx and PowerBI.
  • Entrepreneurial with a self‑starting personality; ability to prioritise and manage multiple responsibilities simultaneously.
  • A team player with the ability and understanding of how to operate in a dynamic environment.
  • Ability to work both independently and as a team player.
  • Able to mentor and develop treasury proficiency in others.
  • Ability to organise and complete work related projects in a timely manner.
  • Flexible, adaptable, and willing to do what it takes to get the job done.
  • The desire and the ability to continuously process significant feedback from any source and to rapidly convert this learning into action.
Minimum Years Experience Required
  • Bachelor's Degree in Accounting, Finance, or related Degree required.
  • Appropriate experience in lieu of education may be considered.
  • 7+ years of professional experience, and at least 2 years managing teams.
  • Association of Financial Professionals Certified Treasury Professional (CTP) designation is desirable.
Seniority level

Mid‑Senior level

Employment type

Full‑time

Job function

Finance and Sales

Industries

Business Consulting and Services

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