Ebury helps ambitious businesses unlock global growth, and we take the same approach with our people. We encourage innovation and movement, collaboration and problem-solving, and foster an environment where everyone can feel they belong, are valued,
Ebury helps ambitious businesses unlock global growth, and we take the same approach with our people. We encourage innovation and movement, collaboration and problem-solving, and foster an environment where everyone can feel they belong, are valued,
About PayJoy PayJoy, a Public Benefit Corporation, is a mission-first credit provider dedicated to helping under-served customers in emerging markets to achieve financial stability and success. Our patented technology for secured credit provides an on-ramp for
Eaton’s ES AMER ARS division is currently seeking a Senior Cost & Inventory Financial Analyst. What you’ll do: PRIMARY FUNCTION: As part of the finance/accounting group, this position is responsible for reporting & analyzing financial, COGS,
Treasury Manager NAO ROLE PURPOSE The Treasury Regional Manager leads treasury operations across the region. The role secures liquidity, optimizes cash, manages financial risk and banking relationships, and supports the region’s financing needs, operating within global
VP of Markets Treasury Management and administration of the Bank’s Investment Portfolio. Provide support for ALCO, IRRBB, Liquidity and Funding strategies. III. PRINCIPAL ACCOUNTABILITIES • Management of risks resulting from the transfer pricing process and from
VP of Markets Treasury Management and administration of the Bank’s Investment Portfolio. Provide support for ALCO, IRRBB, Liquidity and Funding strategies. III. PRINCIPAL ACCOUNTABILITIES • Management of risks resulting from the transfer pricing process and from
The role is to be responsible for the development and execution of the TSG practice and will have a predominantly market and client facing focus. The role demands a proactive and continuous engagement with key clients
The role is to be responsible for the development and execution of the TSG practice and will have a predominantly market and client facing focus. The role demands a proactive and continuous engagement with key clients
A leading global company in Mexico City is looking for a Treasury Operations Manager. This role oversees hedging operations, drives high-quality data and reporting, and manages treasury information. The ideal candidate has 5–7 years of experience in
Buyer (3+ years experience) Location: Remote Experience: 3-5 years Salary range: 15-25k MXN before taxes depending on experience We are seeking an energetic and analytical Buyer with 3–5 years of experience in strategic sourcing, supplier negotiation,
Purpose The purpose of this role is to support Orbia’s Treasury operations through the execution of operational FX transactions, short-term investments, Letters of Credit, pension reporting, and intercompany loan activities. The role ensures timely execution, documentation,
Role Overview We are seeking a highly skilled Emerging Markets FX Trader with deep expertise in African/LATAM/Asian currencies to join our global trading & liquidity team. The ideal candidate will have extensive experience managing illiquid and
Purpose The purpose of this role is to support Orbias Treasury operations through the execution of operational FX transactions, short-term investments, Letters of Credit, pension reporting, and intercompany loan activities. The role ensures timely execution, documentation,
What You’ll Do As part of the finance/accounting group, this position is responsible for reporting & analyzing financial, COGS, routings, BOMS and inventory results. The analyst will support operations and other functions (PLM’s, staff supervisors, etc.)
Purpose The purpose of this role is to oversee Orbia’s hedging operations, treasury information management, and lease governance while driving high-quality data, reporting, and automation across the organization. The role owns the hedging operating model, data governance standards,
The Treasury Manager will be responsible for leading the corporate treasury strategy and operations, ensuring optimal working capital management, availability of financial resources, and mitigation of financial risks related to liquidity, FX, and funding. This role
Nemak is dedicated to developing technological solutions that make sustainable mobility possible. We are committed to working together across disciplines to drive innovation and to shape the future of automotive lightweighting. Objective Responsible for overseeing cash
The Treasury Manager will be responsible for leading the corporate treasury strategy and operations, ensuring optimal working capital management, availability of financial resources, and mitigation of financial risks related to liquidity, FX, and funding. This role
A Snapshot of Your Day Describe in a short, transparent paragraph what a day in life of this role might look like:The Accounting and Controlling Hub North America provides Operation Support, Reporting and Analysis to support