Prepare cash flow forecasts to ensure efficient funding of MBM Core and MB Mexico activities and processes Day to day (main tasks): Employing financial models to generate projections of the cost of funds pricing for MBM Core Prepare annual and monthly cash flow forecasts to ensure efficient funding of MBM Core and MB Mexico activities Implementation of same corporate treasury methodology and process applied in MBNAC Analyze research and investigate funding costs, and forecast future costs and expenses for MBM Core and MB Mexico Monitor daily cash position to ensure sufficient funding for automotive,
finance loan and lease business Prepare and distribute match-funded cost of funds data as needed using data extracted from MBNAC Treasury Creation of dashboards to illustrate cash management financial reports Bachelor in Accounting, Finance, Economics, Business Administration or a related field 2 years of experience in treasury and/or controlling cash management Advanced English Advanced Excel (Macros) Programming in SAS y/o Python.
(desired)
Knowledge: Cost of funds, Cash Flow, Free Cash Flow, IFRS Additional Information Location: CDMX (Santa Fe) Local contract applies.
Relocation assistance will not be provided for this position.
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