Manager, Global Treasury Quants
Core
Oversees global cash management, FX risk management, and investments to optimize treasury processes and manage liquidity.
Role type
Manager, Treasury Operations
Builds
Optimized treasury processes, liquidity management strategies, and compliance frameworks
Domain
Finance / Corporate Treasury
Deliverable
production ML models | product features | dashboards & analysis | research | client delivery | infrastructure | physical/clinical work
Required skills
Corporate cash management, FX risk management, Treasury policy development, Business Continuity Planning (BCP), Intercompany loan oversight, Process automation, Team leadership
Preferred skills
Treasury workstation optimization, M&A integration, Regulatory compliance
Responsibilities
Take ownership of key Treasury processes such as corporate cash management or FX risk management activities; Partner with internal constituents to solve corporate cash management issues; Lead junior treasury team members for professional growth; Institute and socialize BCP/BIA processes and planning; Identify automation initiatives for daily operations efficiency; Collaborate with Risk and Compliance teams for regulatory and licensing compliance.
Seniority
Manager, hands-on leadership