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Our pharmaceutical client is seeking an experienced Treasury professional to support key areas of the global Treasury function, including treasury operations, FX back-office activities, and M&A integration work streams. This role requires a highly technical, hands-on individual with strong multinational corporate treasury experience, exceptional attention to detail, and the ability to manage multiple priorities effectively. The position is based in San Rafael, CA on a hybrid schedule. In office days are Tuesdays and Thursdays.
Job Responsibility:
Support and maintain a best-in-class global banking infrastructure in collaboration with International Treasury
Ensure high service levels to internal business partners and identify efficiency opportunities
Support initiatives related to fraud prevention, risk mitigation, straight-through processing, governance, and global liquidity
Assist with regulatory compliance activities, including KYC and FBAR
Support and develop expertise in SAP MBC Treasury Workstation, including cash flow analysis and payment processes
Adhere to established standards for project reporting and documentation
Assist with new module implementations and ongoing system enhancements
Support short-term liquidity forecasting using SAP and bank platforms
Maintain daily cash positioning and execute EFT payments as required
Support FX back-office activities, including settlements and confirmations
Monitor intercompany balances and support intercompany trade and loan settlements
Support treasury policies, SOX compliance, and internal/external audit requirements
Requirements:
7 years of experience in a multinational corporate treasury environment
Strong knowledge of treasury operations and corporate banking practices
Hands-on experience with treasury systems (SAP preferred) and FX/risk platforms (e.g., FXall, CapellaFX, Clearwater)
Experience with bank portals such as CitiDirect, Client CashPro, and J.P. Morgan Access
Bachelor’s degree in business, Accounting, Finance, or related field