Description
Job Summary:
A prominent company specializing in the marketing of cutting-edge technology seeks a Treasury Analyst to manage cash flows, reconciliations, and banking transactions.
Key Responsibilities:
1. Cash flow management and bank reconciliations
2. Tracking of domestic and international transfers
3. Preparation of balance reports and maturity control
A prominent company specializing in the marketing of cutting-edge technology seeks:
**TREASURY ANALYST**
**Requirements**
* Bachelor's degree or technical diploma in Accounting, Business Administration, or Finance.
* Familiarity with banking platforms.
* Bank reconciliations.
* Cash flow organization.
* Microsoft Office suite.
**Main Responsibilities**
* Daily confirmation of customer deposits.
* Daily updating of banking transactions.
* Tracking of domestic and international transfers.
* Preparation of banking layouts.
* Daily and monthly bank reconciliations.
* Daily balance reporting.
* Recording of banking transactions.
* Maturity control and payment schedule management.
**Work Schedule**
* Monday to Friday, **9:30 AM to 6:00 PM**
* Work location: **Chapultepec (near Glorieta Niños Héroes).**
**We Offer**
* **Salary:** $15,000 to $17,000 MXN per month, net (paid biweekly).
* **Statutory benefits.**
* Fixed shift and job stability
W 33 1289 2761
Salary: $16,000\.00 \- $17,000\.00 per month
Work location: On-site employment