Job Purpose Responsible for the structuring, execution and ongoing management of Rates, FX and Asset-Backed Financing solutions for clients across Mexico and LatAm. The role supports client activity across hedging, financing and structured solutions, including private ABF transactions,
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
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,
Role OverviewWe are seeking a highly skilled Emerging Markets FX Trader with deep expertise in African and/or Latin American currencies to join our global trading & liquidity team. The ideal candidate will have extensive experience managing illiquid
Faurecia Automotive GmbH in Puebla, Mexico seeks a seasoned Treasury Manager to lead regional treasury operations. You will manage cash positioning, liquidity forecasting, intercompany funding, hedging, and banking relationships across the region, ensuring regulatory compliance and integration
OSL is seeking an Emerging Markets FX Trader to join our global trading & liquidity team in Mexico. This role demands a deep expertise in trading African and/or LATAM currencies, managing high-volume cross-border payments, and developing robust
PayJoy is seeking a Treasury Back Office Analyst in Mexico City to support FX hedging operations and strengthen treasury controls. You will coordinate with Finance, Accounting, and banking partners to manage derivatives, confirmations, and hedge designations, ensuring accuracy
Structuring - Rates, FX and Asset-Backed Financing Director Location: Cuauhtemoc, Distrito Federal, MX, 06500 Brand: HSBC Area of Interest: Role Workstyle: Hybrid Worker Date: 27 Jul 2026 Job Purpose Responsible for the structuring, execution and ongoing management
Job Purpose Responsible for the structuring, execution and ongoing management of Rates, FX and Asset-Backed Financing solutions for clients across Mexico and LatAm. The role supports client activity across hedging, financing and structured solutions, including private ABF transactions,
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, and
About the Role : As a Corporate TreasurySpecialist helps to manage organizations cash flow and financial resources.Their primary goal is to ensure liquidity for short-term operations, optimizethe return on surplus capital, and guarantee the fulfillment of
Regional Treasury Analyst (Front Office) Responsible for cash forecasting, investments, financial risk management, and financing requirements of the LATAM division and its subsidiaries. Focuses on developing new capabilities to support funding needs and reduce risk exposures.
Requisition ID - Posted 07/01/2026 - Finance - Mexico - Mexico City - Del.Miguel Hidalgo - Colgate-Palmolive - Travel - up to 10% of time - Hybrid - No Relocation Assistance Offered - Job Number #
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
Manage CEMEX’s FX and interest rate risks through financial derivatives and other debt-related strategies. Main Responsibilities : - Ongoing market monitoring & analysis to identify potential financial risks and applicable mitigation strategies - Sensitivity & scenario analysis
Valeo is a tech global company, designing breakthrough solutions to reinvent the mobility. We are an automotive supplier partner to automakers and new mobility actors worldwide. Our vision? Invent a greener and more secured mobility, thanks
Job Background/context: Markets Treasury is responsible for managing Bank liquidity. Additionally, Markets Treasury manages and hedges significant interest rate and liquidity risk arising from the bank chain balance sheet utilizing a range of cash and derivative
# Treasury Manager NAO - Interiors divisionPUEBLA, MexicoID: 66385-# Job Description# Treasury Manager NAOROLE PURPOSE The Treasury Regional Manager leads treasury operations across the region. The role secures liquidity, optimizes cash, manages financial risk and banking
Hello, were LOréal. Were not just building brands, were shaping how the world experiences beauty (and it takes a lot of cool jobs to do it). Intrigued? Keep reading, this might be the opportunity youve been
ALM & Treasury team: Challenges that await you: Design, enhance, and optimize ALM (Asset-Liability Management) models for FX risk, IRRBB, ensuring alignment with evolving regulatory and market standards. Play pivotal role in regulatory capital adequacy planning process