Treasury Analyst: Cash Management
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Grupo TECMA, based in Mexico, Baja California, is seeking a Treasury Analyst to support cash management, reporting, and payment processing for the US operations. The role entails analyzing daily cash positions, managing cash flow reports, and ensuring timely SAP payment processing.
The ideal candidate holds a finance-related degree and 2–4 years of treasury or accounting experience, with strong SAP and bank portal skills in a fast-paced environment. On-site position in Tijuana.