Job Description
Job Description
Job Contributions and Key Responsibilities
Cash & Debt Management
- Manage daily cash flow and support payment obligations globally through execution, review and/or approval.
- Implement effective strategies to optimize treasury operations.
- Provide recommendations to optimize cash, debt and cost reductions.
- Collaborate with other departments on a regular basis.
- Lead initiatives to streamline manual processes & focus on expanding automation.
- Champion the implementation of new treasury management tools.
- Ensure processes and controls are being adhered to.
- Monitor multiple bank accounts for at least 15 entities.
Banking Relationship
- Serve as primary point of contact for the Mexico banking partners.
- Lead negotiations involving multimillions of dollars with banking partners regarding debt commitments and fees.
- Manage multimillion dollars debt with global banking partners.
- Develop and foster the company’s banking relationships and ensure compliance with banking regulations.
- Maintain bank account structures, signatories, and banking resolutions.
- Organize and facilitate documentation preparation between the Company and its banking partners.
Planning & Risk Management
- Identify, assess, and mitigate financial risks, including foreign exchange, interest rate, and credit risks
- Create strategies to simplify, reduce cost and risk to the company and their shareholders
- Continuously monitor foreign exchange markets (across at least 7 different currencies) and trends applicable to the global organization.
- Responsible for executing and strategizing foreign multimillion dollars currency trades and the administration of the company’s foreign exchange programs, including foreign currency hedges and spot trades.
- Responsible for collaborating with other departments to effectively update a detailed cash flow.
- Analyze key reports including cash and debt forecasts for each region.
- Ability to develop, implement and maintain complex models
Business Partner Support
- Prepare and present regular reports on treasury activities, financial performance, and risk management to senior management.
- Leader within the Treasury and Finance team.
- Lead projects as assigned with minimal support.
Knowledge, Skills And Abilities
- Banking platforms
- Excel
- Excellent analytical skills and attention to detail.
- Strong communication and presentation skills.
- High level of integrity and dependability with a strong sense of urgency.
- Critical and strategic thinker & problem solver.
- Highly effective communicator.
- Highly organized.
- Adapts to change.
- Ability to multi-task.
- Ability to work within a team environment.
- Manages confidential information and complex financial data.
- Ability to use professional skepticism in all interactions of this role.
- Ability to read, analyze, and translate contracts.
Education Level: Bachelor’s Degree
Field/s Of Education
- Finance
- Business Administration
Years of Experience: >5 years in areas related to the position
Languages
- English: 85% – 95%
- Spanish: > 95%
Necessary Software
- Microsoft Office (Excel, Word, Power Point) – Intermediate
- Electronic Banking – Advanced
- Oracle – Basic
Travel Requirements
- Ability to travel 5% percent of the time.