Sr. Analyst Treasury, Front Office
Bunge Iberica SA
Sr. Analyst Treasury, Front Office
Date: Sep 23, 2026
City : Mexico City State : México (MX-MEX) Country : Mexico (MX) Requisition Number : 48286
Bunge has an exciting opportunity available for Sr Analyst, Treasury Front Office. In this role you will be part of a global team working on challenging, meaningful projects impacting core business activities. Since 1818, Bunge has been connecting farmers to consumers to deliver essential food, feed, and fuel to the world. Looking to the future, our ambition is to continuously reinvent ourselves, leveraging data to be at the forefront of analytics, technology and talent to accomplish our purpose in a better, faster and simpler way. Bunge is committed to operating and thriving in the digital world – creating world class agile teams where teammates are empowered and encouraged to collaborate and test and learn to succeed. At Bunge, people don’t just come here to work, they come here to grow – solving challenges that directly impact the world with a diverse team of thinkers and doers. Bunge offers a strong compensation and benefits package, generous paid time off program, flexible work arrangements, and opportunity to progress. Our hybrid work environment provides a balance of in-office and remote work. Most importantly, in all we do we live our values:
- Act as One Team by fostering inclusion, collaboration, and respect
- Drive for Excellence by being agile, innovative and efficient
- Do What's Right by acting safely, ethically, and sustainably
A Day in the Life: The Sr Analyst Treasury plays a critical role in supporting Bunge's global liquidity management and treasury operations activities. This position is responsible for daily cash positioning, funding analysis, short-term investment and borrowing activities, foreign exchange (FX) execution, treasury reporting, and oversight of treasury operational activities performed through Global Business Services (GBS). The role supports business-critical decisions impacting the company's daily liquidity and funding requirements. The successful candidate will interact with Treasury leadership, Capital Markets, Finance, Accounting, Tax, GBS, banking partners, and other internal stakeholders across North America and global regions. This is a highly visible role that offers exposure to global treasury operations, liquidity management, banking relationships, financial markets, Treasury Management Systems, and strategic treasury initiatives.
What You'll Be Doing: Liquidity Management & Cash Positioning Perform and analyze daily global cash positioning activities. Monitor and validate global cash balances, funding requirements, and liquidity forecasts. Partner with Capital Markets and Treasury leadership to support daily borrowing, repayment, and investment decisions. Coordinate funding activities with Treasury Back Office teams. Prepare and distribute daily liquidity and treasury reports. Identify liquidity risks and recommend mitigation actions. Treasury Operations Oversight Oversee treasury operational activities performed by BBS. Ensure SLA compliance and timely execution of treasury transactions. Support continuous improvement initiatives within Treasury Operations. Foreign Exchange Management Support FXall trading desk coverage during North America business hours. Execute FX transactions within approved policies and authorities. Banking & Cash Management Support bank account management activities. Analyze bank fees and treasury service utilization. Participate in banking service reviews and optimization opportunities. Treasury Projects & Process Improvement Support treasury technology and automation initiatives. Drive process improvements to increase efficiency and strengthen controls. Participate in Treasury Management System enhancements and testing activities. Support documentation and business continuity planning efforts. Reporting & Analysis Prepare recurring treasury reports and management presentations. Perform cash flow and liquidity analysis. Support audits, SOX compliance, and internal control reviews. Develop reporting enhancements and analytical tools.
Skills/Experience Bachelor's degree in Finance, Accounting, Economics, Business Administration, or related field. 4+ years of experience in Treasury, Corporate Finance, Cash Management, Financial Planning, Banking, or related areas. Strong understanding of cash management and liquidity concepts. Strong analytical and problem-solving abilities. Ability to manage multiple priorities in a fast-paced environment. Excellent communication and stakeholder management skills. Ability to work independently and make sound decisions under tight deadlines. Language Requirements Advanced English proficiency (written and verbal) is required. Ability to effectively communicate with stakeholders located in the United States, and global regions. Experience presenting analysis and recommendations in English is highly preferred. Preferred Treasury experience in a multinational organization. SAP Treasury and Risk Management experience. Treasury Management System experience. FX dealing experience. Knowledge of banking products and liquidity structures. Improve Bunge's outcomes by making data-driven decisions, keeping the customer at the forefront of all they do, and proactively gaining insight into the global strategy. Collaborate, effectively communicate with others and take initiative to continually develop themselves. Pursue opportunities to solve problems and take action while maintaining the ability to manage work, even in times of challenge or change.
At Bunge (NYSE: BG), our purpose is to connect farmers to consumers to deliver essential food, feed and fuel to the world. As a premier agribusiness solutions provider, our team of ~34,000 dedicated employees partner with farmers across the globe to move agricultural commodities from where they’re grown to where they’re needed—in faster, smarter, and more efficient ways. We are a world leader in grain origination, storage, distribution, oilseed processing and refining, offering a broad portfolio of plant-based oils, fats, and proteins. We work alongside our customers at both ends of the value chain to deliver quality products and develop tailored, innovative solutions that address evolving consumer needs. With 200+ years of experience and presence in over 50 countries, we are committed to strengthening global food security, advancing sustainability, and helping communities prosper where we operate. Bunge has its registered office in Geneva, Switzerland and its corporate headquarters in St. Louis, Missouri. Learn more at Bunge.com.
Every day our people exemplify these values, which represent Bunge at its core:
- We Are One Team – Collaborative, Respectful, Inclusive
- We Lead The Way – Agile, Empowered, Innovative
- We Do What’s Right – Safety, Sustainability, With Integrity
If this sounds like you, join us! We value and invest in people who believe in our purpose and are excited to live it every day – people who are #ProudtoBeBunge
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