Job Summary
A company is looking for a Director, Global Treasury to manage cash across markets and ensure liquidity.
Key Responsibilities
- Design and maintain global cash flow forecasting models and optimize short-term liquidity
- Manage cash movement across digital wallets and banks, ensuring compliance and reliability
- Drive innovation in treasury management systems and explore emerging technologies for efficiency
Required Qualifications
- 10+ years of treasury or corporate finance experience with global liquidity management
- Experience in fintech, payments, startups, or high-growth businesses
- Advanced skills in Excel/Google Sheets modeling
- Deep understanding of cash management, FX hedging, and regulatory compliance
- Proven ability to implement treasury management systems and API integrations
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