Cash Treasury Supervisor (San Martín Obispo (San Pedro))

Cash Treasury Supervisor (San Martín Obispo (San Pedro))

14 ago
|
Driv
|
San Martín Obispo (San Pedro)

14 ago

Driv

San Martín Obispo (San Pedro)

**Cash & Treasury Supervisor**:
Location: Centrum Park (Tlalnepantla)
**About the Role**:
We are seeking a highly motivated Cash & Treasury Supervisor who will play a pivotal role in driving visibility, discipline, and excellence in cash and working capital management. This position serves as a strategic partner across Finance, Operations, Supply Chain, and Commercial teams, ensuring effective collaboration to optimize liquidity and achieve corporate financial objectives.
**What You’ll Do**:
- Drive Cross-Functional Collaboration: Partner closely with AR, AP, Supply Chain, and Operations teams to identify and execute initiatives that enhance cash flow, reduce working capital needs, and improve business performance.
- Monitor & Analyze Key Metrics: Track and interpret DSO, DPO, inventory turns, and cash conversion cycle performance across multiple business units, providing actionable management insights.
- Forecast & Recommend: Prepare detailed weekly and monthly cash flow forecasts, comparing vigente results against plans, explaining variances, and recommending corrective actions.
- Ensure Corporate Reporting Compliance: Develop and submit accurate, timely cash and working capital reports using standardized corporate templates, ensuring consistency and transparency across regional and global stakeholders.
- Deliver Insightful Dashboards: Build and enhance reporting tools and BI dashboards to improve visibility and support strategic decision-making.




- Support Global Finance Reviews: Participate actively in monthly working capital and cash performance reviews, preparing presentations and narratives for senior finance leadership.
- Contribute to Process Excellence: Support special projects, policy updates, and process improvements to strengthen controls and enhance overall treasury operations efficiency.
**What You’ll Bring**:
- Bachelor’s degree in finance, Accounting, Economics, or related field.
- 4-6 years of experience in finance, treasury, or working capital roles, preferably in a multinational or manufacturing environment.
- Strong knowledge of cash flow forecasting, working capital optimization, and liquidity management.
- Advanced Excel proficiency; experience with SAP and reporting tools such as Power BI is highly desirable.
- Fluency in English at a professional level, enabling effective communication with global stakeholders.
- Excellent collaboration, communication, and problem-solving skills with a proven ability to influence cross-functional teams.
- Self-starter with a proactive approach, able to work under pressure and manage multiple priorities while maintaining reporting accuracy and integrity.
Join us and be the bridge between global finance standards and local execution — enabling more innovative cash management, stronger collaboration, and sustainable growth.
General Business - Tenneco Confidential

📌 Cash Treasury Supervisor (San Martín Obispo (San Pedro))
🏢 Driv
📍 San Martín Obispo (San Pedro)

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