





Tier-1 brand, metro location, mid-level (8-15y) generalist treasury role increases competition.
Specialist treasury, FX, derivatives, and cash-pooling skills limit cross-industry transferability.
Explicit 8-15 years and mandatory treasury, FX, derivatives, SOX, and systems experience.
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Lead and centralize treasury operations across 110+ countries, ensuring SOX compliance and process documentation.
Manage Group Treasury reporting, cash liquidity forecasts, and support cash management and repatriation while minimizing risk.
Develop, train, and oversee a Treasury team; drive automation and continuous improvement in treasury processes and systems.
8-15 years of experience in corporate treasury, banking, or financial risk management.
Mandated skills: expertise in cash management, treasury operations (including FX, derivatives, inter-company loans), bank account and liquidity management, and compliance with treasury policies.
Bachelor’s or master’s degree in Finance, Accounting, Economics, or related field; CTP, CA, CFA, or MBA preferred.
Work Experience Required: 8-15 years in relevant treasury or financial roles.
Experienced leader with a background in global treasury shared services or complex multi-currency cash management environments.
Proven expertise in operational treasury functions including cash forecasting, derivatives, and liquidity consolidation.
Operationally focused with strong skills in process standardization, system implementation (e.g., ION Treasury management), team development, and stakeholder communication across global teams.