Treasury Analyst

Empresa Confidencial

Ciudad de México

Híbrido

MXN 334.800 - 502.200

Jornada completa

14 días+

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Descripción de la vacante

A leading company is seeking a Treasury Analyst to join its Finance department in Mexico City. The role involves monitoring cash and debt activity, preparing cash flow forecasts, and managing banking relationships. Ideal candidates will have a degree in a relevant field and at least 2 years of experience in treasury or accounting. The position offers opportunities to work in a dynamic environment and make impactful contributions to the organization's financial health.

Formación

  • 2+ years' experience in treasury, cash management, or accounting.
  • Excellent knowledge of Excel and other Microsoft Office products.
  • Ability to learn independently and manage multiple tasks effectively.

Responsabilidades

  • Monitor daily cash activity and prepare cash flow forecasts.
  • Coordinate bank reconciliation and manage banking relationships.
  • Oversee security administration for all bank accounts.

Conocimientos

Communication
Problem Solving
Self-Motivated
Team Player

Educación

Bachelor's degree in Accounting, Finance, Business Administration, or related field

Herramientas

Microsoft Excel

Descripción del empleo

The Treasury Analyst will serve a key role in the Finance department by monitoring, recording, and reporting cash and debt activity to support the treasury needs of the business. This individual will report to the Accounting Manager.

Key Responsibilities

  • Monitor daily cash activity and provide analysis to Finance management
  • Prepare cash flow forecasts and provide recommendations to management on the best uses of working capital
  • Coordinate bank reconciliation process across Finance department to ensure fast and accurate accounting of treasury activity
  • Work directly with global Finance leaders to understand the treasury needs of the business and to ensure availability of the necessary accounts and services
  • Manage the security administration process for all bank accounts to ensure appropriate user access and roles
  • Monitor banking relationships and services to identify the most cost-effective treasury solutions and eliminate unnecessary expenses
  • Manage intercompany loans/investments and maintain related documentation
  • Process wire transfers and execute foreign exchange transactions
  • Prepare and maintain global Treasury policies
  • Assist with financial and SOX audit procedures

Knowledge, Skills + Experience

  • Bachelor's degree or higher in Accounting, Finance, Business Administration, or related field
  • 2+ years’ experience in treasury, cash management or accounting
  • Self-motivated individual with a high level of integrity and accountability
  • Excellent verbal and written communication skills
  • Excellent knowledge of Excel and other Microsoft Office products
  • Ability to proactively and independently learn business applications, accounting systems, and reporting tools
  • Ability to multi-task and work in a fast-paced, rapidly changing environment, with competing and deadline-sensitive priorities
  • Excellent team player with an ability to work effectively with all levels in the organization, domestically and internationally

#LI-Hybrid

Seniority level
  • Seniority level
    Mid-Senior level
Employment type
  • Employment type
    Full-time
Job function
  • Job function
    Finance
  • Industries
    Advertising Services

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