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
Objective Responsible for overseeing cash management operations, managing intercompany financial activities, and leading financing transactions with banks and capital markets. This role ensures efficient cash flow, optimizes intercompany funding, and secures financing to support the companys
IT STARTS HERE Compruebe a continuación si tiene lo necesario para esta oportunidad y, si es así, envíe su solicitud lo antes posible. Santander ( is evolving from a global, high-impact brand into a technology-driven organization,
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
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 (ICAP), counterparty
The FP&A Senior Manager reports directly to the Director of Finance, works closely with Controllership, Treasury, and FinOps, and will eventually oversee a growing team.What youll work on:Corporate FP&A:The FP&A Sr. Manager is responsible for helping
Global Treasury Manager Objective Responsible for overseeing cash management operations, managing intercompany financial activities, and leading financing transactions with banks and capital markets.This role ensures efficient cash flow, optimizes intercompany funding, and secures financing to support
Global Treasury Manager Objective Responsible for overseeing cash management operations, managing intercompany financial activities, and leading financing transactions with banks and capital markets. This role ensures efficient cash flow, optimizes intercompany funding, and secures financing to
The FP&A Senior Manager reports directly to the Director of Finance, works closely with Controllership, Treasury, and FinOps, and will eventually oversee a growing team. What youll work on: Corporate FP&A: The FP&A Sr. Manager is
# 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
Global Treasury Manager Responsible for overseeing cash management operations, managing intercompany financial activities, and leading financing transactions with banks and capital markets. This role ensures efficient cash flow, optimizes intercompany funding, and secures financing to support
Overview: The FX & Interest Rates Risk Management Consultant will be responsible for structuring, pricing, executing, and monitoring foreign exchange and interest rate products to support internal brokers and sales teams. The role combines front-office market expertise with risk oversight
Global Treasury Manager Objective Responsible for overseeing cash management operations, managing intercompany financial activities, and leading financing transactions with banks and capital markets. This role ensures efficient cash flow, optimizes intercompany funding, and secures financing to
# Treasury Manager NAO - Interiors division PUEBLA, Mexico ID: *-# 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
Treasury Manager NAOROLE PURPOSEThe Treasury Regional Manager leads treasury operations across the region. The role secures liquidity, optimizes cash, manages financial risk and banking relationships, and supports the regions financing needs, operating within global treasury policies
Global Treasury Manager ObjectiveResponsible for overseeing cash management operations, managing intercompany financial activities, and leading financing transactions with banks and capital markets. This role ensures efficient cash flow, optimizes intercompany funding, and secures financing to support