Treasury - Senior Associate
Industry/Sector
Not ApplicableSpecialism
Managed ServicesManagement Level
Senior AssociateJob Description & Summary
The OpportunityJoin 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 directly, providing insights and solutions within our Finance Consulting practice. You will focus on corporate finance, treasury, and commodities, leveraging your skills to navigate complex financial landscapes and deliver impactful results. As a Senior Associate, you will build meaningful client connections, anticipate needs, and embrace increased ambiguity. You will guide and mentor others, maintaining professional and technical standards while using critical thinking to break down complex concepts. Your role will involve interpreting data to inform insights and recommendations, contributing to the firm's overall business strategies.
In this role at PwC Acceleration Center Mexico, you will be part of the Finance Managed Services team, working within our Digital Core Modernisation network. You will have the opportunity to develop a deeper understanding of the business context and how it is evolving, using reflection to enhance your strengths and address development areas. By upholding professional standards and fostering personal growth, you will navigate increasingly complex situations, growing your personal brand and deepening your technical skills. This position offers a dynamic environment where you can thrive and make a significant impact.
Responsibilities
- Analyzing complex financial data to support corporate finance and treasury operations
- Developing strategic financial models to optimize capital structure and cash flow forecasting
- Monitoring and interpreting market trends to inform financial strategy and risk management
- Collaborating with client teams to deliver tailored finance and treasury solutions
- Implementing compliance with accounting standards and financial reporting requirements
- Conducting commodities analysis to enhance financial forecasting and planning
- Presenting financial reports and investor presentations to stakeholders
- Utilizing analytical thinking to drive budgetary management and capital budgeting decisions
- Supporting divestitures and foreign exchange transactions within corporate finance initiatives
- Engaging in strategic planning and financial need analysis to align with business objectives
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 advanced skills in Financial Risk Management and Treasury Management
- Excelling in Cash Flow Forecasting and Capital Budgeting
- Analyzing complex financial trends and market dynamics
- Developing strategic financial models and forecasts
- Presenting comprehensive financial reports to stakeholders
- Embracing change and demonstrating intellectual curiosity in finance
Travel Requirements
Up to 20%Job Posting End Date