Flex is the diversified manufacturing partner of choice that helps brands design, build and deliver innovative products. We are seeking a Corporate Treasury Analyst in Guadalajara, North Campus, to support cash management and treasury operations under the Sr Director, Finance.
Responsibilities include daily cash ops, banking relationships, wire processing, and global treasury controls. Requires a Finance/Accounting degree, strong Excel skills, and ability to work in a fast-paced, general
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📌 Global Treasury Analyst - Cash & Banking (Centro)
🏢 Flex
📍 Centro
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