Job Summary
A company is looking for a Senior Manager, Treasury to optimize global cash management and treasury operations.
Key Responsibilities
- Maintain and enhance Treasury operations while managing policies, procedures, and internal controls
- Oversee daily cash positioning, intercompany funding, and settlement processes
- Manage global banking relationships, optimize cash forecasting, and implement cash management programs
Qualifications
- Bachelor's degree in Finance, Accounting, or related field; CTP or MBA preferred
- 7+ years of progressive treasury or corporate finance experience
- Strong working knowledge of global banking platforms, intercompany cash management, and FX exposure management
- Experience with Treasury Management Systems and ERP systems such as NetSuite
- Strong understanding of global treasury regulations and cross-border compliance
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