Position Purpose The Senior Treasury Analyst – USA will support the Treasury Manager USA & Mexico in managing day-to-day treasury operations in the United States . 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
~ Cash Management and Operations
Monitor daily cash position and prepare weekly cash flow forecasts.
Execute payments, fund transfers, and intercompany settlements.
Manage bank accounts, including reconciliations and fee analysis.
~ Banking Relations
Support in maintaining strong relationships with U.S. banking partners.
Assist in negotiating banking services and ensuring efficient execution.
~ Risk Management and Compliance
Monitor FX and interest exposures and support hedging execution as instructed.
Ensure compliance with U.S. banking, treasury, and tax regulations.
Assist with SOX / internal controls and external audit requirements.
~ Reporting and Analysis
Prepare treasury reports for management and headquarters.
Support monthly and quarterly close processes, including journal entries related to treasury.
Contribute to liquidity and investment analysis.
~ Process Improvement and Systems
Support implementation and optimization of treasury systems (TMS, ERP).
Propose process improvements for cash management and treasury efficiency.
Candidate Profile
Education : Bachelor’s degree in Finance, Accounting, Economics, or Business Administration.
Experience : 3 + years in corporate treasury, preferably in a multinational environment.
Technical Knowledge :
U.S. treasury and banking practices.
US GAAP knowledge related to treasury operations.
Treasury systems (TMS) and ERPs (SAP, Oracle, etc.).
Languages : English fluency required; Spanish native.
Skills : Analytical mindset, attention to detail, strong organizational skills, ability to work independently while reporting to management.
Treasury Analyst • Comitán, MX