Treasury - Senior Manager
Industry/Sector
Not ApplicableSpecialism
Managed ServicesManagement Level
Senior ManagerJob 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 Manager, you will specialize in providing financial advisory services related to corporate finance, treasury management, and commodities. You will work closely with clients to analyze financial needs, develop strategies for capital structure optimization, manage liquidity and cash flow, and provide guidance on mergers and acquisitions, divestitures, and other financial transactions. As a Senior Manager, you will leverage your influence, skills, and network to deliver quality results. You will motivate and coach others, coming together to solve complex problems. With increased autonomy, you will apply sound judgment, recognizing when to take action and when to escalate.
In this role at PwC, you will be part of our Finance Consulting practice, specializing in financial management and strategy. You will analyze client needs, develop financial solutions, and offer guidance to help clients optimize their financial performance and improve decision-making. Your ability to develop and sustain high-performing, diverse, and inclusive teams, along with your commitment to excellence, will contribute to the success of our firm.
Responsibilities
- Leading strategic financial advisory services related to corporate finance, treasury management, and commodities
- Analyzing client financial needs and developing strategies for capital structure optimization
- Managing liquidity and cash flow to support client financial goals
- Providing guidance on mergers, acquisitions, divestitures, and other financial transactions
- Utilizing skills in financial modeling and forecasting to enhance decision-making processes
- Collaborating with clients to validate outcomes and incorporate feedback into financial strategies
- Directing teams through complex financial scenarios, maintaining composure in challenging situations
- Crafting and conveying clear, impactful messages that tell a holistic financial story
- Applying systems thinking to identify underlying financial problems and opportunities
- Initiating open and honest coaching conversations to develop high-performing teams
- Making informed decisions to resolve issues affecting team effectiveness
- Modeling and reinforcing professional and technical standards within the firm’s code of conduct
- Monitoring and analyzing financial trends to provide insights and recommendations
- Collaborate with clients to understand their financial processes and treasury management needs.
What You Must Have
- At least a Bachelor's degree
- At least 6 years of experience
- Oral and written proficiency in English required
What Sets You Apart
- Excelling in accounting and financial reporting standards
- Demonstrating proficiency in cash flow forecasting and capital budgeting
- Utilizing strategic planning and financial risk management skills
- Leading treasury management initiatives with a focus on operational excellence
- Applying analytical thinking to monitor and analyze financial trends
- Developing investor presentations that effectively communicate financial strategies
- Coaching teams through complex financial modeling and forecasting tasks
- Willingness to learn technical aspects of TMS platforms (no prior Kyriba or FIS experience required).
Travel Requirements
Up to 20%Job Posting End Date
septiembre 25, 2026