





Strong Tier-1 employer, metro location, and mid-level role increase competition despite niche treasury specialization.
Treasury governance and banking operations require specialized skills, limiting cross-industry transferability.
Explicit 4–10 years, mandatory treasury experience, and finance qualification make filters highly stringent.
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Own and enhance global treasury governance and control frameworks, including bank account lifecycle, banking access controls, signing authorities, and SOX controls.
Drive process excellence by identifying inefficiencies, standardizing and automating treasury processes, and supporting continuous improvement initiatives across treasury and Source-to-Pay interfaces.
Manage stakeholder engagement across internal teams (finance, IT, treasury) and external partners (banks, auditors) to support treasury risk management, compliance, and transformation projects.
4–10 years of experience in Corporate Treasury, Treasury Operations, or Banking Operations.
Professional finance qualification with exposure to treasury and/or controls.
Knowledge of bank KYC/AML, FATCA, governance documentation, and related regulatory requirements.
Experience working in a global, shared services, or multicultural environment preferred but not mandatory.
Experienced in managing treasury governance and control frameworks in large, complex organizations with multiple geographies.
Skilled at process improvement with a focus on risk-aware, standardized, and scalable treasury operations.
Proficient in coordinating across multiple internal and external stakeholders including banks, auditors, finance teams, and IT to deliver process and control excellence.