Nemak is seeking a Global Treasury Manager to oversee cash management operations, intercompany funding, and financing transactions with banks and capital markets across our general footprint. You will lead cash forecasting, manage debt portfolios, negotiate terms with banks, and coordinate treasury activities with plants and regional teams to optimize liquidity and financial compliance.
The ideal candidate has 8+ years in Finance, 6+ years Treasury/Corporate functions, strong English/Spanish, and
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📌 Global Treasury Leader: Cash Flow & Financing Strategy (Ciudad de México)
🏢 Nemak
📍 Ciudad de México
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