





Tier-1 employer, hybrid role, mid-level finance manager with treasury specialization.
Treasury skills are transferable across industries but require domain-specific knowledge and compliance experience.
Requires treasury expertise, SOX compliance knowledge, and preferred certifications, producing moderately strict filtering.
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Lead and manage a team of treasury specialists overseeing daily treasury operations including payments, cash flows, and banking transactions.
Oversee cash and liquidity management, banking relationship management, payment authorizations, cash forecasting, FX risk management, and treasury systems/process improvements.
Ensure compliance with internal controls, reporting, audit requirements, and collaborate with finance and legal teams on treasury policy and communication.
Bachelor's or Master's degree in Accounting, Commerce, Economics, or Finance.
Certified Treasury Professional (CTP) certification required.
Proficiency in English at C2 level mandatory.
Work Experience Required: Not explicitly mentioned in the JD.
Experienced in managing treasury operations with strong leadership and team management skills.
Skilled in banking operations, liquidity risk, treasury cash management, and treasury systems.
Able to engage with multiple stakeholders including finance leadership, FP&A, legal, and tax teams for effective treasury management.