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Treasury Manager-FX

TRANSNETWORK LLC

monterrey, nuevo león, Mexico Full-time June 04, 2026

Opportunity Description

Responsibilities

  • Manage the position of all bank accounts in US and other countries.
  • Supervise day-to-day Treasury operation.
  • Resolve daily operational day-to-day operational problems.
  • Coordinate with FX trade desk positions and cash availability.
  • Implement Treasury Procedures and Controls.
  • Approve wire transfers for Payment Network.
  • Ensure sufficient working capital is maintained in bank accounts to avoid liquidity problems.
  • Maintain files and records of operational daily activity.
  • Ensure the accuracy and integrity of all information generated.
  • Assist in the monthly closing for the books of the company.

Transnetwork is an equal opportunity employer. We celebrate diversity and are committed to creating an inclusive environment for all employees.

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Full-time Finanzas corporativas y planificación estratégica

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