Treasury Operations Sr. Analyst
hace 2 semanas
In The Coca-Cola Company’s Finance Hub, we are a world-class partner, providing tech-enabled, data-driven insights to our stakeholders, enabling business and operational decision-making. All core processes within the Finance Hub aim to drive improvement to overall shareholder value. As a team, we foster a culture of partnership, integrity, and accountability. The Global Record-to-Report Operations team, within the Finance Hub, is tasked with delivering the end-to-end operational accounting process and activities, uphold quality and gain efficiencies across finance functions.We are hiring for a Treasury Operations Sr. Analyst. This role will report to the Senior Manager, Treasury Operations LATAM, and be primarily responsible for leading cash flow forecasting and analysis, liquidity management, interest income forecasting, and bank account management, for KO legal entities in the LATAM region. They will also be expected to help lead and drive transformation in this space.**Focus, Scope, & Impact**:- Support the free cash flow initiative, drive short-term planning, and perform financial analysis and modeling to improve forecasting.- Analyze and refine cash flow actuals derived from the new cash flow reporting tool. Through testing and analysis, this person will engage with the field/operations to understand transactions and or accounting processes, with the aim of providing data driven insights.- Help improve and implement the new end-to-end cash flow forecasting process.- Engage with other free cash flow forecast preparers and stakeholders (e.g. Corporate Treasury, Operating Units, CPS, FP&A etc.) to understand analytical needs that will drive forecasting accuracy.- Help lead bank account management for the LATAM region.- Partner, collaborate, and assist our MSP, Genpact.- Lead key projects, globally, across the Treasury Operations team.- Partner with corporate treasury on strategic transactions and solutions.**Specific Role Responsibilities**:- Help lead cash flow forecasting and cash flow actuals analysis (Direct Method) for KO legal entities in the LATAM region.- Collaborate across the organization to improve forecasting and insights in this area - FP&A, OU Finance, CPS Finance, Controllers Group, Corporate Treasury, etc.- Develop actionable working capital metrics at an OU and Legal Entity level.- Develop an understanding of our business models and priorities.- Help lead interest income forecasting for KO legal entities in the LATAM region.- Manage daily liquidity requirements for LATAM region, executing investments in line with corporate treasury policy and guidance.- Coordinate with internal and external stakeholders on bank account management.- Execute strategic treasury requirements in partnership with corporate treasury.- Comfortably support simultaneous and varied projects, deliverables, and priorities**KEY SUCCESS PARAMETER****Experience**- Minimum of 3-5 years of experience in finance or a related role in a multinational company with a global footprint. Preferably, experience in working across different cultures and time zones.- Bachelor's degree in business administration, finance, accounting, economics, or a related field is required.- Knowledge of treasury industry and processes.- Advanced Microsoft Excel and PowerPoint skills.- Experience with financial software tools including SAP and Hyperion is a plus.- Knowledge of financial modelling, budgeting, forecasting, and variance analysis techniques.- Analytical problem-solving and decision-making skills, with the ability to translate complex financial data into insights.- Demonstration of business acumen, financial competency, English language fluency, effective communication, systems proficiency, change adaptability, flexibility, business partnership and collaboration, and risk management.**Skills**Financial (Inactive); Commodity Finance; Cross-Functional Teamwork; Risk Management; Financial AnalysisAnnual Incentive Reference Value Percentage:15Annual Incentive reference value is a market-based competitive value for your role. It falls in the middle of the range for your role, indicating performance at target.
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Sr. Treasury Analyst Finance Latam
hace 2 semanas
Ciudad de México CHEP A tiempo completoCHEP helps move more goods to more people, in more places than any other organization on earth via our 347 million pallets, crates and containers. We employ approximately 13,000 people and operate in 60 countries. Through our pioneering and sustainable share-and-reuse business model, the world’s biggest brands trust us to help them transport their goods...
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Sr Treasury Analyst
hace 2 semanas
Ciudad de México Univar Sol. Corporativo A tiempo completo**A Place Where People Matter - Growing our People to Grow Our Business**We’re thrilled that you are exploring career opportunities where you can continue to make a positive difference every day to **keep our communities healthy, fed, clean and safe.****Primary Purpose**:The Senior Analyst, Treasury will play a key role in supporting the company’s...
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Treasury & Payments Operations Analyst
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Naucalpan de Juárez, México Ford México A tiempo completoA global automotive company is seeking a Disbursement & Treasury Operations Analyst in Naucalpan de Juárez. The role requires managing financial supply chain processes, including invoice handling and reconciling payments. Candidates should possess at least 2-5 years of experience with strong communication and analytical skills, and knowledge of iERP,...
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Treasury & Payments Operations Analyst
hace 1 día
Naucalpan de Juárez, México Ford México A tiempo completoA global automotive company is seeking a Disbursement & Treasury Operations Analyst in Naucalpan de Juárez. The role requires managing financial supply chain processes, including invoice handling and reconciling payments. Candidates should possess at least 2-5 years of experience with strong communication and analytical skills, and knowledge of iERP,...
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Treasury Analyst
hace 4 días
Ciudad de México PPG A tiempo completoAs Treasury Analyst you will manage the cash flow, back accounts administration, handle electronic bank, accounting records, payments to suppliers, follow up and review with all responsible areas. You will work (home office and CDMX office) and will report to the Treasury Chief. Key Responsibilities: - Prepare the cash flow. - Treasury accounting...
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Treasury Analyst
hace 3 días
Ciudad de México PPG A tiempo completoAs Treasury Analyst you will manage the cash flow, back accounts administration, handle electronic bank, accounting records, payments to suppliers, follow up and review with all responsible areas.You will work (home office and CDMX office) and will report to the Treasury Chief.Key Responsibilities:- Prepare the cash flow.- Treasury accounting records-...
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Treasury Analyst
hace 3 semanas
Ciudad de México Warner Bros. Discovery A tiempo completo**_Welcome to Warner Bros. Discoverythe stuff dreams are made of._****Who We Are**When we say, “the stuff dreams are made of,” we’re not just referring to the world of wizards, dragons and superheroes, or even to the wonders of Planet Earth. Behind WBD’s vast portfolio of iconic content and beloved brands, are the _storytellers_ bringing our...
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Treasury Analyst
hace 2 semanas
Ciudad de México albo A tiempo completo**albo**albo is a leading fintech company offering financial products to individuals and SMB’s with the mission to bring financial freedom to everyone everywhere.**About the role****What you’ll be doing at albo**:- Cash Management:- Monitor daily cash positions and forecast future cash needs.- Work closely with internal stakeholders to ensure liquidity...
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Treasury Analyst
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México Johnson Electric A tiempo completoJoin Our Team as a Treasury Analyst at Johnson Electric! Location: Zacatecas, Mexico (onsite) As our next Treasury Analyst, you’ll be responsible for managing treasury operations across four entities at the Mexico site. You’ll handle daily banking transactions, cash flow forecasting, financial data analysis, and support electronic banking...
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Junior Treasury Analyst
hace 3 semanas
Ciudad de México Draslovka A tiempo completoThe Draslovka group is looking for an enthusiastic Finance professional to work in our Treasury, Credit Risk Team. The Junior Treasury Analyst will be responsible for keep updated the customer accounts for all legal entities in the group. This position will interact on a frequent basis with the Commercial team to ensure that disputes are promptly resolved...