Treasury - Senior Associate

Industry/Sector

Not Applicable

Specialism

Managed Services

Management Level

Senior Associate

Job Description & Summary

The Opportunity

Join our Acceleration Center Mexico and help shape the future of business for our diverse client portfolio across geographies and jurisdictions. You’ll work at the heart of global teams across Advisory, Assurance, Tax and Business Services—solving real client challenges through connected collaboration. We’ll help you grow your skills so you can go further. With hands-on learning, cutting-edge tools and an inclusive culture, this is your opportunity to do inspiring work that makes a difference—every day.

As a Treasury - Senior Associate, you will engage with clients to provide strategic insights and solutions within our Finance Consulting practice. You will focus on corporate finance, treasury, and commodities, leveraging your skills to address complex financial challenges. As a Senior Associate, you will build meaningful client connections and develop a deeper understanding of the business context. You will guide and mentor others, navigating complex situations to deliver quality work and grow your personal brand.

In this role at PwC Acceleration Center Mexico, you will be part of a dynamic team that supports clients in optimizing their financial operations. You will have the opportunity to work within our Finance Managed Services, contributing to the development of innovative solutions that meet client needs. Your role will involve analyzing complex financial data, interpreting feedback, and using a broad range of tools and methodologies to generate new ideas and solve problems. This position offers a chance to enhance your skills and expand your professional network while making a significant impact on client engagements.

Responsibilities

- Analyzing complex financial data to support corporate finance and treasury operations
- Developing and implementing financial strategies to optimize capital structure and cash flow
- Conducting financial modeling and forecasting to inform strategic planning and decision-making
- Monitoring and analyzing financial trends to provide insights for investor presentations and reports
- Managing budgetary processes and capital budgeting to align with organizational goals
- Supporting compliance with accounting and financial reporting standards
- Collaborating with teams to enhance financial risk management and treasury management practices
- Presenting financial reports and recommendations to stakeholders for informed decision-making
- Utilizing analytical thinking to assess financial needs and develop targeted solutions
- Engaging in commodities analysis to support financial strategy and market trend evaluation

What You Must Have

- At least a Bachelor's degree
- At least 2 years of experience
- Oral and written proficiency in English required

What Sets You Apart

- Demonstrating proficiency in Accounting and Financial Reporting Standards
- Utilizing analytical thinking for complex financial problem-solving
- Managing cash flow forecasting and capital budgeting effectively
- Excelling in financial modeling and strategic planning
- Presenting financial reports with clarity and precision
- Embracing change and demonstrating learning agility
- Monitoring and analyzing financial trends for informed decision-making

Travel Requirements

Up to 20%

Job Posting End Date

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