Treasury Manager
- PwC
- Reforma, Mexico
- MXN 1,200,000 – MXN 1,800,000
Industry/Sector
Not Applicable
Specialism
Managed Services
Management Level
Manager
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 - 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 Manager, you will lead teams and manage client accounts, focusing on strategic planning and mentoring junior staff. You are accountable for confirming project success and maintaining standards. Enhancing your leadership style, you motivate, develop, and inspire others to deliver quality. You are responsible for coaching, leveraging team members' unique strengths, and managing performance to deliver on client expectations.
In this role at PwC, you will be part of our Finance Consulting practice, where you will analyze client needs, develop financial solutions, and offer guidance to help clients optimize their financial performance. You will embrace technology and innovation to enhance your delivery and encourage others to do the same. You are expected to lead with integrity and authenticity, articulating our purpose and values in a meaningful way. This is an opportunity to develop skills outside your comfort zone and encourage others to do the same, all while contributing to the success of our firm.
Responsibilities
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, and divestitures to enhance client financial performance
Leading teams in the execution of treasury management and commodities analysis projects
Utilizing financial modeling and forecasting to improve decision-making processes
Developing and implementing financial strategies to optimize client outcomes
Coaching team members to leverage their strengths and deliver quality client service
Monitoring and analyzing market trends to identify opportunities for financial growth
Reviewing financial reports and confirming compliance with accounting standards
Encouraging innovation and embracing technology to enhance service delivery
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 cash flow forecasting and capital budgeting
Demonstrating proficiency in financial risk management and strategic planning
Utilizing analytical thinking to enhance financial modeling and forecasting
Embracing change and innovation in finance and treasury operations
Developing skills in commodities analysis and foreign exchange
Presenting financial reports with clarity and precision
Building relationships through effective communication and teamwork
Willingness to learn technical aspects of TMS platforms (no prior Kyriba or FIS experience required).
Travel Requirements
Up to 20%
Job Posting End Date
diciembre 22, 2026
Skills
- Treasury Management
- Financial Analysis
- Capital Structure Optimization
- Cash Flow Management
- Mergers & Acquisitions
- Client Relationship Management
- Team Leadership








