Corporate Treasury Supervisor

Epson Latinoamérica

Ciudad de México

Presencial

MXN 1.109.262 - 1.479.016

Jornada completa

14 días+

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Descripción de la vacante

A leading technology company in Mexico City is seeking a Corporate Treasury Supervisor to oversee treasury operations and manage banking relationships. The ideal candidate will have a Bachelor’s degree and 3–5 years of experience in treasury or corporate finance. Proficiency in English and Spanish is required. This full-time position offers an opportunity for leadership and professional development in a dynamic environment.

Formación

  • 3–5 years of relevant experience in treasury, cash management, or corporate finance, with at least 1–2 years in a supervisory role.
  • Strong understanding of cash management and banking products.
  • Ability to thrive in a fast-paced work environment.

Responsabilidades

  • Supervise day-to-day treasury activities, including cash positioning and fund transfers.
  • Manage relationships with banks and financial institutions.
  • Prepare and review treasury reports and ensure compliance with policies.

Conocimientos

Treasury management
Cash management
Financial analysis
Leadership
Problem-solving
Excellent English and Spanish

Educación

Bachelor’s degree in Finance, Accounting, Economics, or related field

Herramientas

Treasury management systems
MS Office applications (especially Excel)

Descripción del empleo

The Corporate Treasury Supervisor oversees daily treasury operations, ensuring efficient management of the company’s cash flow, liquidity, and financial resources. This role is critical for safeguarding assets, maintaining strong banking relationships, and supporting strategic financial decision‑making. The supervisor ensures compliance with internal policies, external regulations, and industry best practices, while mentoring and developing treasury staff. The ideal candidate will have expertise in Treasury, the ability to manage technology, and a track record of driving digital innovation in Treasury activities.

Key Responsibilities
Treasury Operations
  • Supervise day‑to‑day treasury activities, including cash positioning, fund transfers, and bank reconciliations.
  • Oversee payment processing and ensure adherence to internal controls and approval workflows.
  • Monitor and analyze daily, weekly, and monthly cash flow forecasts to ensure sufficient liquidity for operational and capital requirements.
  • Recommend and implement strategies for optimizing working capital and minimizing financing costs.
Banking & Financial Institution Relations
  • Manage relationships with banks, financial institutions, and funding partners.
  • Negotiate and evaluate short‑term investments, loans, and credit facilities.
Reporting & Compliance
  • Prepare and review treasury reports, including daily cash positions, cash flow analysis, and bank activity summaries.
  • Ensure compliance with company policies, contractual agreements, and regulatory requirements.
  • Assist in the development, implementation, and maintenance of treasury policies and procedures.
  • Identify, assess, and mitigate financial risks, including liquidity, credit, currency, and interest rate risks.
  • Develop and implement risk management policies and procedures.
Process Improvement and Systems Management
  • Continuously assess and improve Treasury processes, workflows, and methodologies to enhance efficiency, accuracy, and value‑add.
  • Support the implementation, upgrade, and maintenance of Treasury systems, reporting tools, and data warehouses.
  • Ensure high standards of accuracy, consistency, and reliability in all treasury data and reports.
  • Train, mentor, and supervise treasury staff to ensure operational efficiency, accuracy, and professional growth.
Skills and Qualifications
  • Bachelor’s degree in Finance, Accounting, Economics, or a related field.
  • 3–5 years of relevant experience in treasury, cash management, or corporate finance, with at least 1–2 years in a supervisory role.
  • Advanced English and Spanish.
  • Strong understanding of cash management, banking products, and financial instruments.
  • Proficiency in treasury management systems, financial software, and MS Office applications (especially Excel).
  • Excellent analytical, organizational, and problem‑solving skills.
  • Strong interpersonal and communication skills, with the ability to work effectively across departments and with external partners.
  • Ability to thrive in a fast‑paced and varied work environment.
  • Leadership and team development capabilities.
Seniority level
  • Mid‑Senior level
Employment type
  • Full‑time
Job function
  • Accounting/Auditing
Industries
  • Computers and Electronics Manufacturing
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