Job Description

Position Purpose

The Treasury Manager USA & Mexico in managing day-to-day
treasury operations in the United States and Mexico
. The role will focus on ensuring liquidity, accurate cash management,
compliance with U.S. regulations
, and execution of treasury processes, while contributing to financial efficiency and risk control.

Key Responsibilities

  • Monitoring daily balances, bank transactions, reconciliations, and payments application.
  • Planning and supervising payments to suppliers, taxes, and financial obligations, as well as tracking collections.
  • Preparing treasury reports and short- and medium-term cash forecasts (Cash Flow, projections, etc.).
  • Maintaining operational relationships with the Operations department and banks. Document management, guarantees, insurance, and other requests.
  • Reviewing financing, interest rates, and banking conditions to improve them.
  • Support...

Apply for this Position

Ready to join Confidential? Click the button below to submit your application.

Submit Application