21 ago
|
BP
|
Ciudad de México
21 ago
BP
Ciudad de México
Entity: Finance Job Family Group: Finance Group Job Description: As a Treasury Analyst at bp, you’ll play a key role in managing daily cash, supporting liquidity forecasting, and ensuring effective banking operations. Your work will help optimize cash flow and support financial resilience—critical to bp’s strategy of delivering value through disciplined financial management and enabling the energy transition. This is a high-impact role where precision and insight directly support bp’s performance and growth ambitions. Key Outcomes & Accountabilities Daily Cash Position: Ensure accurate and timely cash positioning to support smooth business operations and maximize liquidity usage across all entities. Reliable Cash Flow Forecasts: Deliver accurate short
Disclaimer
📌 Treasury Analyst (Ciudad de México)
🏢 BP
📍 Ciudad de México