- Trabajo
- México
- Estado de México
- Naucalpan
- treasury
Trabajo treasury en Naucalpan
A leading global ink and pigment manufacturer in Naucalpan de Juárez is seeking an Asset and Cash Management Analyst. This role oversees local treasury operations and manages financial reporting, vendor payments, and audits. Candidates should have a Bachelor's degree and preferably some experience in treasury or finance. Intermediate English and proficiency in Excel and SAP are required. Join a...
Relationship Management Interaction with several internal and external stakeholders such as global Treasury, IT, Accounting teams and external banks. Essential Skills - Requires building and maintaining good working relationships with key interfaces. - Ability to provide strong project management / leadership with cross-functional teams. - Self-motivated problem solver - Ability to multi-task,...
Treasury & Financial Operations Analyst About the Role We’re looking for a detail-driven and proactive Treasury & Financial Operations Analyst to join our growing Finance team. This role supports daily cash operations, loan-portfolio activities, internal controls, and financial reporting processes. You’ll help ensure that our liquidity is monitored accurately, funds move on time, and that our...
El Corporate Treasury Manager tiene como objetivo garantizar la adecuada administración y gestión de la liquidez en todas las monedas utilizadas en las operaciones de las empresas del Corporativo, asegurando la optimización del fondeo e inversión del flujo de efectivo. Supervisar y proyectar los flujos financieros, estructurar estrategias de deuda y mantener un balance sólido para el Corporativo...
Únete a nuestro Equipo como: Treasury Specialist En Kushki, nos enorgullece ser líderes en la industria de pagos, impulsando el cambio y la innovación a través de soluciones que transforman los comercios. Nuestro compromiso con la excelencia y la creatividad nos ha llevado a la vanguardia de nuestro campo, y buscamos constantemente talentos apasionados que deseen hacer una diferencia real en el...
Location: Remote (LATAM-based candidates only) Salary Range: $2,500 – $3,500 USD per month Schedule: Full-time | ~7–8 hours per day | Aligned to EST About the Role We're looking for a Semi Senior Treasury / Cash Management professional to join a growing finance team and support daily liquidity management across corporate and project entities. This role is heavily focused on cash visibility,...
CTG Latam is seeking an Accounts Payable Specialist to join our finance team in Mexico City. The Accounts Payable Specialist will ensure accurate vendor reconciliations, fiscal validation with the SAT, and timely payments through SAP and Contpaqi. This role supports financial integrity, strengthens internal controls, and ensures full compliance with company and regulatory standards across the...
Project Description DXC Luxoft has one of the world's leading Murex practices. We are a top-tier Murex Alliance Partner and a market leader in implementation, integration, upgrade, and migration. We provide end-to-end project services and have delivered over 200 successful Murex projects across all major asset classes and sectors including investment banking, asset management, corporate treasury,...
Location: Remote (Latin America-based, preferably Argentina, Colombia, Mexico) Checker is the global liquidity network for stablecoins. We enable regulated financial institutions, such as banks, Payments Service Providers (PSPs), remittance providers, FX brokers etc. lean on our infrastructure to adopt stablecoins and scale their operations globally by plugging into our network. We are a...
A Financial Analyst is required to support our finance team in various operations. This role involves ensuring daily cash operations run smoothly, loan portfolio activities are tracked accurately, and financial reporting processes are up-to-date. About the Role This position requires a detail-driven individual who can handle multiple tasks simultaneously. You will be responsible for monitoring...
A leading consulting firm in Mexico City seeks an SAP TRM Consultant to implement and optimize SAP FSCM TRM solutions on SAP S/4HANA. The role requires extensive collaboration with clients to analyze treasury processes and design solutions that ensure high accounting accuracy and regulatory compliance, particularly with IFRS. The ideal candidate should have strong technical expertise in financial...
En Alstom, sabemos cómo funcionan las redes de transporte y qué mueve a las personas. Desde trenes, metros, monorrieles y tranvías de alta velocidad, hasta sistemas, servicios, infraestructura, señalización y movilidad digital preconfigurados, ofrecemos a nuestros diversos clientes la cartera más amplia de la industria. JOB TITLE & PURPOSE OF THE JOB Job Title: Regional/Country Treasury Manager...
A leading technology company in Mexico City seeks an analytical Supervisor of Treasury to lead data-driven decision support and optimize technology infrastructure. This role involves designing dashboards, analyzing cash flows, and collaborating with finance and IT. Candidates should possess a relevant degree, with at least 5 years of corporate treasury experience. The company emphasizes...
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...
Treasury – Risk Management / Interest Rate Hedging (Senior) Location: Remote (LATAM-based candidates only) Salary Range: $3,500 – $4,500 USD per month Schedule: Full-time | ~7–8 hours per day | Aligned to EST About the Role We're looking for a Senior Treasury professional with a strong focus on risk management and interest rate hedging to join a growing Treasury team. This role will support...
El Head of Corporate Treasury tiene como objetivo garantizar la adecuada administración y gestión de la liquidez en todas las monedas utilizadas en las operaciones de las empresas del Corporativo, asegurando la optimización del fondeo e inversión del flujo de efectivo. Supervisar y proyectar los flujos financieros, estructurar estrategias de deuda y mantener un balance sólido para el Corporativo...
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...
El Head of Corporate Treasury tiene como objetivo garantizar la adecuada administración y gestión de la liquidez en todas las monedas utilizadas en las operaciones de las empresas del Corporativo, asegurando la optimización del fondeo e inversión del flujo de efectivo. Supervisar y proyectar los flujos financieros, estructurar estrategias de deuda y mantener un balance sólido para el Corporativo...
Location: Remote ( LATAM-based candidates only )#128181; Salary Range: $2,500 – $3,500 USD per month #128344; Schedule: Full-time | ~7–8 hours per day | Aligned to EST #129534; About the Role We're looking for a Semi Senior Treasury / Cash Management professional to join a growing finance team and support daily liquidity management across corporate and project entities . This role is heavily...
El Head of Corporate Treasury tiene como objetivo garantizar la adecuada administración y gestión de la liquidez en todas las monedas utilizadas en las operaciones de las empresas del Corporativo, asegurando la optimización del fondeo e inversión del flujo de efectivo. Supervisar y proyectar los flujos financieros, estructurar estrategias de deuda y mantener un balance sólido para el Corporativo...