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Regional Treasury Analyst (Front Office) (Mexico City, MEX, MX)
Colgate-Palmolive · Mexico City, MEX, MX
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Other (Adjacent or hard to classify.)
posted
3d ago
location
Mexico City, MEX, MX
languages
—
tools
excel
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excel
> education
bachelors
> description
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<p><span style="font-family:Arial, Helvetica, sans-serif">No Relocation Assistance Offered<br>Job Number #173939 - Del.Miguel Hidalgo, Mexico City, Mexico<br><br><strong>Who We Are</strong><br><br>Colgate-Palmolive Company is a global consumer products company operating in over 200 countries specializing in Oral Care, Personal Care, Home Care, Skin Care, and Pet Nutrition. Our products are trusted in more households than any other brand in the world, making us a household name!<br><br>Join Colgate-Palmolive, a caring, innovative growth company reimagining a healthier future for people, their pets, and our planet. Guided by our core values—Caring, Inclusive, and Courageous—we foster a culture that inspires our people to achieve common goals. Together, let's build a brighter, healthier future for all.</span><br> </p><p><span style="font-family:arial, helvetica, sans-serif;font-size:12.0pt;color:black"><strong>Role Summary</strong></span></p>
<p><br><span style="font-family:arial, helvetica, sans-serif;font-size:12.0pt;color:black">The<strong> Regional Treasury Analyst</strong> is a key member of the Front Office team, responsible for cash forecasting and investments, financial risk management, and the financing requirements of the LATAM division and its subsidiaries. This role focuses on establishing new capabilities and strategies to assist in managing funding requirements and mitigating the company’s risk exposures. Reports to: Regional Treasury Director LATAM</span><br><span style="font-family:arial, helvetica, sans-serif;font-size:12.0pt;color:black"> </span><br><span style="font-family:arial, helvetica, sans-serif;font-size:12.0pt;color:black"><strong>Responsibilities:</strong></span><br><span style="font-family:arial, helvetica, sans-serif;font-size:12.0pt;color:black"><strong>FX & Risk Management</strong></span></p>
<ul>
<li style="font-family:arial, helvetica, sans-serif;font-size:12.0pt;color:black"><span style="font-family:arial, helvetica, sans-serif;font-size:12.0pt;color:black">FX Spot Purchases: Request and execute FX trades, including spot purchases.</span></li>
<li style="font-family:arial, helvetica, sans-serif;font-size:12.0pt;color:black"><span style="font-family:arial, helvetica, sans-serif;font-size:12.0pt;color:black">FX Risk Management: Provide recommendations on hedging strategies and manage issues related to foreign exchange (FX) risk.</span></li>
<li style="font-family:arial, helvetica, sans-serif;font-size:12.0pt;color:black"><span style="font-family:arial, helvetica, sans-serif;font-size:12.0pt;color:black">Exposure Identification: Collaborate with business finance teams to identify and mitigate FX exposures.</span></li>
<li style="font-family:arial, helvetica, sans-serif;font-size:12.0pt;color:black"><span style="font-family:arial, helvetica, sans-serif;font-size:12.0pt;color:black">Analysis: Evaluate strategic risk/reward trade-offs, including hedging costs, hedge ratios, and hedge accounting.</span></li>
<li style="font-family:arial, helvetica, sans-serif;font-size:12.0pt;color:black"><span style="font-family:arial, helvetica, sans-serif;font-size:12.0pt;color:black">Counterparty Risk Management: Monitor and manage counterparty risk as part of the broader financial risk management framework.</span></li>
</ul>
<p><span style="font-family:arial, helvetica, sans-serif;font-size:12.0pt;color:black"><strong>Cash & Liquidity Management</strong></span></p>
<ul>
<li style="font-family:arial, helvetica, sans-serif;font-size:12.0pt;color:black"><span style="font-family:arial, helvetica, sans-serif;font-size:12.0pt;color:black">Cash Forecasting: Conduct cash flow forecast analysis to identify business drivers around working capital and improve usage.</span></li>
<li style="font-family:arial, helvetica, sans-serif;font-size:12.0pt;color:black"><span style="font-family:arial, helvetica, sans-serif;font-size:12.0pt;color:black">Investments / OID: Manage the investment portfolio and liquidity risk while coordinating financing needs. Develop comprehensive financial analyses and evaluations to support and justify the firm’s investment strategy.</span></li>
<li style="font-family:arial, helvetica, sans-serif;font-size:12.0pt;color:black"><span style="font-family:arial, helvetica, sans-serif;font-size:12.0pt;color:black">Local Market Insights: Monitor and provide insight on local market conditions for currencies in key regional markets.</span></li>
</ul>
<p><span style="font-family:arial, helvetica, sans-serif;font-size:12.0pt;color:black"><strong>Bank Relations & Digitalization</strong></span></p>
<ul>
<li style="font-family:arial, helvetica, sans-serif;font-size:12.0pt;color:black"><span style="font-family:arial, helvetica, sans-serif;font-size:12.0pt;color:black">Global Bank Relations: Support the management of Colgate’s global relationship banks and maintain positive working relationships with bank counterparts.</span></li>
<li style="font-family:arial, helvetica, sans-serif;font-size:12.0pt;color:black"><span style="font-family:arial, helvetica, sans-serif;font-size:12.0pt;color:black">Digitalization: Support the implementation of new IT, banking, or SAP systems, specifically focusing on the SAP Treasury module.</span></li>
</ul>
<p><span style="font-family:arial, helvetica, sans-serif;font-size:12.0pt;color:black"><strong>Reporting & Operational Cadence</strong></span></p>
<ul>
<li style="font-family:arial, helvetica, sans-serif;font-size:12.0pt;color:black"><span style="font-family:arial, helvetica, sans-serif;font-size:12.0pt;color:black">Support the department’s operational cadence by delivering high-impact financial reports and ad-hoc analyses. Participate in strategic alignment forums, including Quarterly Finance Director (FD) meetings and regional team connects.</span></li>
</ul>
<p><span style="font-family:arial, helvetica, sans-serif;font-size:12.0pt;color:black"> </span><br><span style="font-family:arial, helvetica, sans-serif;font-size:12.0pt;color:black"><strong>Required Qualifications:</strong></span></p>
<ul>
<li style="font-family:arial, helvetica, sans-serif;font-size:12.0pt;color:black"><span style="font-family:arial, helvetica, sans-serif;font-size:12.0pt;color:black">Education: Bachelor’s Degree in Finance (Preferred), Business Administration, Economics, or a related field.</span></li>
<li style="font-family:arial, helvetica, sans-serif;font-size:12.0pt;color:black"><span style="font-family:arial, helvetica, sans-serif;font-size:12.0pt;color:black">Experience: 2+ years in treasury or finance functions within a corporate institution or financial services.</span></li>
<li style="font-family:arial, helvetica, sans-serif;font-size:12.0pt;color:black"><span style="font-family:arial, helvetica, sans-serif;font-size:12.0pt;color:black">Language: Advanced English proficiency (oral and written).</span></li>
<li style="font-family:arial, helvetica, sans-serif;font-size:12.0pt;color:black"><span style="font-family:arial, helvetica, sans-serif;font-size:12.0pt;color:black">Technical Skills: * Advanced Excel and familiarity with Google Suite.</span></li>
</ul>
<p><span style="font-family:arial, helvetica, sans-serif;font-size:12.0pt;color:black"> </span><br><span style="font-family:arial, helvetica, sans-serif;font-size:12.0pt;color:black"><strong>Preferred Qualifications:</strong></span></p>
<ul>
<li style="font-family:arial, helvetica, sans-serif;font-size:12.0pt;color:black"><span style="font-family:arial, helvetica, sans-serif;font-size:12.0pt;color:black">Strong analytical skills with a high degree of accuracy and attention to detail.</span></li>
<li style="font-family:arial, helvetica, sans-serif;font-size:12.0pt;color:black"><span style="font-family:arial, helvetica, sans-serif;font-size:12.0pt;color:black">Working knowledge of SAP and the SAP Treasury module is highly desirable.</span></li>
<li style="font-family:arial, helvetica, sans-serif;font-size:12.0pt;color:black"><span style="font-family:arial, helvetica, sans-serif;font-size:12.0pt;color:black">Familiarity with Bloomberg; Data management and visualization skills are a plus.</span></li>
</ul><p><br><span style="font-family:Arial, Helvetica, sans-serif"><strong>Our Commitment to Inclusion</strong><br>Our journey begins with our people—developing strong talent with diverse backgrounds and perspectives to best serve our consumers around the world and fostering an inclusive environment where everyone feels a true sense of belonging. We are dedicated to ensuring that each individual can be their authentic self, is treated with respect, and is empowered by leadership to contribute meaningfully to our business.<br><br><strong>Equal Opportunity Employer</strong><br>Colgate is an equal opportunity employer and all qualified applicants will receive consideration for employment without regard to race, color, religion, gender, gender identity, sexual orientation, national origin, ethnicity, age, disability, marital status, veteran status (United States positions), or any other characteristic protected by law.<br><br>Reasonable accommodation during the application process is available for persons with disabilities. Please complete this <a href="https://docs.google.com/forms/d/e/1FAIpQLSdaxk_eF4utznQoVHlxmL9jVFJbOkM4Oe5CAdKOg-h9EPdLfg/viewform" target="_blank" rel="noopener"><span style="color:#0000ff">request form</span></a> should you require accommodation.<br><br>#LI-Hybrid</span></p>