





Mid-level experience, metro location, and a strong global employer brand increase applicant competition.
Treasury, derivatives, and treasury-system expertise are industry-specific, limiting transferability across functions and industries.
Explicit 5-8 years plus mandatory treasury, derivatives, and SOX controls makes shortlisting highly strict.
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Own and centralize back-office treasury processes across 110+ countries ensuring SOX compliance and detailed process documentation.
Manage trade lifecycle activities including confirmations, settlements, reconciliations, reporting, and exception resolution to reduce settlement risk and maintain operational excellence.
Support treasury operations including KYC, mandate management, audits, governance, treasury systems maintenance, and compliance with treasury policy and regulatory requirements.
5-8 years of experience in corporate treasury, banking, or financial risk management within a global or international business environment.
Strong knowledge and operational experience with treasury instruments including FX, money markets, derivatives (forwards, swaps, NDFs), intercompany loans, and cash pooling.
Bachelor's or master's degree in finance; MBA or equivalent qualification preferred.
Experience with treasury systems (e.g., ION Treasury) and understanding of SOX controls, regulatory requirements, and internal treasury policies.
Experienced treasury professional with deep expertise in trade life cycle management and treasury operations at a global scale with multiple currencies and instruments.
Proven ability to implement and maintain treasury processes and systems supporting regulatory compliance and operational risk reduction.
Strong interpersonal and communication skills to engage with senior leadership and multiple stakeholders including front office, middle office, banks, and internal audit teams.