At EBANX, you’ll help expand access to payments and technology in some of the world’s most dynamic markets. We’re a unicorn-status fintech, AI-powered, and scaling fast across 29 countries and counting. Our platform connects leading global
Treasury Analyst ¿Qué harás? Serás un punto de contacto clave entre Tesorería, Contabilidad, áreas Comerciales y entidades financieras, tendrás la oportunidad de participar tanto en actividades operativas críticas como en iniciativas de mejora continua y automatización de
The Securities & Derivatives Analyst 2 is an intermediate level position responsible for processing orders and transactions originating from trading desks and branch offices in coordination with the Operations - Transaction Services team. The overall objective
Responsibilities Manage the position of all bank accounts in US and other countries. Supervise day-to-day Treasury operation. Resolve daily operational day-to-day operational problems. Coordinate with FX trade desk positions and cash availability. Implement Treasury Procedures and Controls. Approve wire
Job Description Ciudad de México Nivel de estudios Bachelors Degree in finance, accounting, economics or business preferred. Experiencia Requerida From 7 years of experience. Habilidades Soft Skills Self-driven and results oriented individual who excels in a
This role follows a hybrid model. We ask that youre in our Monterrey office 3 days per week. About Tensec Founded in 2023, Tensec is a global fintech that enables small and medium-sized businesses (SMBs) to
The Banker is a senior-level position responsible for assisting clients in raising funds in the capital markets, as well as in providing strategic advisory services for mergers, acquisitions and other types of financial transactions in coordination
Company Description Are you ready to trade your job for a journey? Become a FlyMate! Passion, excitement & global collaboration are all core to what it means to be a FlyMate. At Flywire, we’re on a
About Reap Reap is a global financial technology company headquartered in Hong Kong with employees across multiple countries. We enable financial connectivity and access for businesses worldwide by combining traditional finance with stablecoins for efficient money
The Senior Banker is a senior-level position responsible for assisting clients in raising funds in the capital markets, as well as in providing strategic advisory services for mergers, acquisitions and other types of financial transactions in
The Banker is a senior-level position responsible for assisting clients in raising funds in the capital markets, as well as in providing strategic advisory services for mergers, acquisitions and other types of financial transactions in coordination
A luxury fashion company located in Mexico City is seeking an experienced Treasury Manager. The successful candidate will lead treasury strategies, manage cash flow, and oversee Concur travel and expense implementations. Ideal applicants will have at least 6
faurecia S.A. is looking for a Treasury Manager NAO to lead treasury operations in Puebla, Mexico. This role will secure liquidity, optimize cash, and manage banking relationships in alignment with global treasury policies. The ideal candidate has over 10
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 with
Carestream Health is seeking a Treasury Analyst based in Mexico, Jalisco, to support day-to-day treasury operations across the U.S. and Mexico.This role focuses on cash management, liquidity forecasting, and compliance, alongside collaboration with Accounting, Finance, and regional teams.The
Faurecia Automotive Gmb H 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
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 reporting
Como parte del equipo financiero, serás responsable de liderar la gestión diaria de tesorería y de conducir iniciativas de transformación y mejora continua que optimicen la liquidez, reduzcan riesgos financieros y mejoren la eficiencia operativa. Trabajarás
OverviewThe Treasury Analyst is responsible for supporting regional cash management, liquidity operations, and banking activities across the LATAM region.This role works closely with the Regional Treasury Manager, regional finance teams, and external banking partners to maintain optimal cash
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