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**Banamex Analista de Tesorería - Seguros - Ciudad de México** Banamex seeks an intermediate-level analyst to manage cash and trade processes, ensuring accurate and timely transactions. Key responsibilities include creating custom reports, resolving errors, and liaising with clients and vendors. The ideal candidate will have 2-5 years of experience in a related role, strong analytical and communication skills, and proficiency in Windows, MS Project, and MS Office Suite. Additionally, experience in Cash & Collateral Management, banca electrónica, and fluency in Spanish are crucial.
- Compensation
- Not specified
- City
- Ciudad De Mexico
- Country
- Mexico
Currency: Not specified
Full Job Description
Banamex Analista de Tesorera - Seguros - CIUDAD DE MEXICO
Job Req Id:
26973310
Location(s):
Ciudad De Mexico, Ciudad De Mexico, Mexico
Job Type:
On-Site/Resident
Posted:
Juni. 23, 2026
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Job Overview
The Cash & Trade Proc Intmd Analyst is an intermediate level role responsible for ensuring transactions are processed accurately and on time in coordination with the Transaction Services team. The overall objective is to research, conduct analyses, and resolve issues.
Responsibilities:
- Create customized transaction services reports based on data analysis
- Monitor and research errors to ensure adherence to audit and control policies
- Resolve transaction services issues and use technical expertise/ judgment to conduct complex analysis
- Anticipate and respond to requests for transaction deliverables from internal and external clients and vendors
- Develop and recommend strategic decisions based off in-depth comprehension of how the Cash & Trade operations team interacts with others business unites in accomplishing objectives
- Assist with providing informal guidance or on-the-job-training to new team members as required
- Appropriately assess risk when business decisions are made, demonstrating particular consideration for the firm's reputation and safeguarding Citigroup, its clients and assets, by driving compliance with applicable laws, rules and regulations, adhering to Policy, applying sound ethical judgment regarding personal behavior, conduct and business practices, and escalating, managing and reporting control issues with transparency.
Qualifications:
- 2-5 years of experience in a related role within trade / cash operations management
- Effective verbal and written skills
- Effective communication and analytical skills
- Effective relationship management skills
- Expert level proficiency in Windows, MS Project, and MS Office Suite
Education:
- Bachelors/University degree or equivalent experience
This job description provides a high-level review of the types of work performed. Other job-related duties may be assigned as required.
Cash & Collateral Management Senior Supervisor Tesoreria
Administrar y ejecutar de manera eficiente las operaciones de Tesorera relacionadas con banca electrnica, flujo de efectivo, pagos, transferencias bancarias, conciliaciones y control operativo, garantizando el cumplimiento normativo, la integridad de las transacciones y la disponibilidad de los recursos financieros para la operacin de la compaa.
Actuar como enlace entre las reas operativas y financieras de Seguros y Pensiones Banamex, as como con las instituciones bancarias, asegurando la correcta ejecucin de los procesos de Cash Management y contribuyendo a la optimizacin de la liquidez y el control financiero de la organizacin.
Responsabilidades:
- Ejecutar operaciones en banca electrnica mediante plataformas bancarias.
- Gestionar Transferencias SPEI, pagos masivos, dispersiones, traspasos e inversin a corto plazo.
- Administrar la posicin bancaria diaria.
- Monitorear saldos bancarios y disponibilidad de recursos, para garantizar la continuidad operativa.
- Realizar conciliacin bancaria de manera oportuna.
- Dar seguimiento a movimientos bancarios y diferencias operativas.
- Coordinar con el banco la atencin de incidencias relacionadas con pagos.
- Asegurar el cumplimiento de polticas internas, controles y normatividad financiera.
- Identificar oportunidades de mejora y automatizacin en procesos operativos de Tesorera.
Experiencia Requerida:
- De 2 a 5 aos de experiencia minima en Tesoreria preferentemente
- Experiencia en instituciones bancarias o aseguradoras
- Manejo de auditoras y controles internos
- Operacin en banca electrnica empresarial
- Gestin de pagos nacionales e internacionales
- Conciliacin bancaria
- Relacin operativa con bancos
- Excel avanzado
Educacin:
- Licenciatura/ttulo universitario (Contabilidad, Administracin, Finanzas o a fin)
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Job Family Group:
Operations - Transaction Services------------------------------------------------------
Job Family:
Cash Management------------------------------------------------------
Time Type:
Full time------------------------------------------------------
Most Relevant Skills
Please see the requirements listed above.------------------------------------------------------
Other Relevant Skills
For complementary skills, please see above and/or contact the recruiter.------------------------------------------------------
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