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The Treasury Manager is responsible for the companys financial health through effective cash management, investment strategies, and risk mitigation. You will act as the primary liaison with banking partners and ensure that the organization’s capital structure supports its long-term strategic goals.
Job Responsibility:
Oversee daily cash visibility across all global bank accounts and entities
Develop and refine short-term and long-term cash flow forecasts to predict funding needs
Manage intercompany funding and centralized cash pooling to optimize interest income and minimize borrowing costs
Identify and manage exposures to foreign exchange (FX) and interest rate fluctuations
Execute and monitor hedging strategies (e.g., forwards, swaps, or options) to protect profit margins
Assess and monitor the creditworthiness of banking partners and investment issuers
Maintain and negotiate terms for credit facilities, revolving loans, and bank fees
Ensure all debt covenants are monitored and reported accurately to lenders
Assist the CFO in determining the optimal mix of debt and equity to fund operations and growth
Implement and maintain Treasury Management Systems (TMS) to automate reporting and payments
Ensure compliance with internal controls (e.g., SOX) and regulatory requirements (e.g., FBAR, IFRS, or GAAP)
Provide necessary documentation and reporting for internal and external audits