Treasury Cash Analyst (Ciudad de México)

Treasury Cash Analyst (Ciudad de México)

31 ago
|
ZF LIFETEC
|
Ciudad de México

31 ago

ZF LIFETEC

Ciudad de México

At ZF LIFETEC, we save lives through cutting-edge technology. With over 60 years of automotive safety innovation, we blend start-up agility with corporate stability to drive meaningful impact worldwide. Operating across 51 locations in 22 countries, our integral presence amplifies our mission to make roads safer and save lives.Join us in a supportive and dynamic environment committed to safety, innovation, and reliability. As a part of our international team, your contributions spark industry-leading innovations in automotive safety. Our inclusive and diverse working environment promotes creativity, career growth, and continuous development.

The Treasury Analyst is responsible for supporting regional cash management, liquidity operations, and banking activities across the Americas region. This role works closely with the Regional Treasury Manager, regional finance teams, and external banking partners to maintain optimal cash positioning, execute banking transactions, and support treasury initiatives that enable business growth and project.

Cash Management & LiquidityPrepare cash positioning and forecasting for America entitiesMonitor cash flows and identify opportunities to optimize liquidity across the regionSupport cash concentration, pooling, and intercompany funding activities

Banking & Transaction ProcessingSupport the timely and accurate execution of local transactions, including HR, tax,



and customs related paymentsAdminister banking platforms and maintain banking relationships for America entities

Regional Finance & Project SupportWork closely with collections, accounts payable, and regional finance teams to optimize cash flowsSupport project funding requirements and capital movementsAssist with month-end reconciliation and reporting processesProvide cash insights and analysis to internal stakeholders

Analysis & ReportingSupport Treasury quarter-end activities and reporting requirements across the the regionPrepare cash flow reports and treasury status updates for management reviewConduct analysis on cash trends, working capital optimization, and efficiency opportunitiesSupport audit requests and treasury-related inquiriesIdentify and escalate control gaps or process improvements

Bachelor's degree in finance, Accounting, Economics, or related field~2-5 years of progressive experience in Treasury, Cash Management, or Corporate Finance~ Strong experience with cash management operations, preferably in a multi-country environment~ Solid understanding of banking products, cash pooling, liquidity management, and FX concepts~ Proactive and collaborative approach to working across regional teams~ Strong integrity and commitment to process compliance and internal controls~ Curiosity and willingness to learn new technologies, processes, and treasury concepts

📌 Treasury Cash Analyst (Ciudad de México)
🏢 ZF LIFETEC
📍 Ciudad de México

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