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Treasury Analyst
Job description
Treasury & Financial Operations Analyst About the Role We’re looking for a detail-driven and proactive Treasury & Financial Operations Analyst to join our growing Finance team. This role supports daily cash operations, loan-portfolio activities, internal controls, and financial reporting processes. You’ll help ensure that our liquidity is monitored accurately, funds move on time, and that our internal books stay in harmony with lenders, banks, and internal stakeholders. If you enjoy numbers, spreadsheets, and problem-solving, this role might be the perfect fit for you. As a Treasury & Financial Operations Analyst, your responsibilities will include: • Analyzing financial data to identify trends and areas for improvement. • Developing and maintaining financial reports and dashboards to provide insights to stakeholders. • Collaborating with cross-functional teams to ensure accurate and timely financial reporting. • Identifying and implementing process improvements to increase efficiency and reduce costs. • Providing exceptional customer service to internal stakeholders, including finance team members, business leaders, and other departments. • Maintaining a high level of accuracy and attention to detail in all aspects of the role. • Staying up-to-date with changing regulations, laws, and industry trends that impact treasury operations. • Participating in special projects as needed, such as financial planning and analysis, budgeting, or forecasting. What We Offer: • A dynamic and supportive work environment with opportunities for growth and development. • Competitive compensation package, including salary, benefits, and perks. • Collaborative team culture that values diversity, equity, and inclusion. • Professional development opportunities to enhance your skills and knowledge. • Recognition and rewards for outstanding performance and contributions. Requirements: • Bachelor’s degree in Finance, Accounting, or a related field. • 2+ years of experience in treasury operations, financial analysis, or a related field. • Strong analytical and problem-solving skills with attention to detail. • Excellent communication and interpersonal skills. • Ability to work independently and as part of a team. • Proficiency in Microsoft Office, particularly Excel. • Familiarity with financial planning and analysis tools and systems.
Required skills
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Company information
- Company
- Quantum Lending Solutions
- Location
-
México, Ciudad de México
Mexico - Posted
- 7 months ago
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