Core Responsibilities

Actively monitor financial market trends to support liquidity and risk management strategies. Execute daily cash positioning across multiple currencies and manage FX transactions. Assist in the rollout of new financial products and ensure compliance with banking regulations. Support the maintenance of partnerships with financial institutions and prepare counterparties credit analysis.

Requirements

2+ years of experience in a treasury front-office or adjacent financial markets role. Degree in STEM, Economics, or Finance. Proficiency in Microsoft Excel and a deep understanding of Mexico's financial market regulations. Fluency in English and a CFA or FRM designation is highly regarded.

Additional Information

Experience Level

Mid-Level

Job Language

English

Employment Type

Full-time

Work Mode

Remote