Finance & Treasury

Our mission is to optimise the use of our resources, and reduce our cost of capital through a strong relationship with the global financial community. We also ensure that all local financial initiatives are in accord with our global financial business plan. To ensure that company cash is efficiently managed, we provide the infrastructure for collections and disbursements, forecast operating and financial performance based on macro- and microeconomic analyses, oversee the operating lease portfolio, identify and implement financial solutions that improve working capital, negotiate terms and conditions with financial institutions, and build alliances with internal and external stakeholders.


A current and future challenge is to find efficient ways to maintain a low cost of capital during global and regional economic turmoil. In addition, it is critical that we find innovative structures and ways to further reduce our working capital investments.

Be Part of the Challenge

To succeed in Finance and Treasury, individuals need strong analytical, financial, negotiation and people skills. As a team, our core capabilities include facility in adjusting to local financial environments and challenges, continuously and proactively rethinking how we do things, and evaluating all the new ideas we generate. If you enjoy challenges, consider yourself a problem-solver, and love to keep current on global developments, this can be a great career opportunity for you.



Did you know?

Careers with CEMEX

Cemex Careers

Corporate Talent Manager Karen Lomeli, explains why working at CEMEX presents our people with a meanigful challenge  View


Learn about our history, how our operations make an impact on the world today and the direction we are taking for the future.  View

Building the Future
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