Senior Manager – Financial Consolidation & FX Risk
Core
Lead global financial consolidations, foreign currency accounting (CTA), and treasury FX risk strategies for a multinational fintech.
Role type
Senior Manager, Financial Consolidation & FX Risk
Builds
Multi-currency financial statements, hedging strategies, and executive FX reports
Domain
Fintech / Global Finance
Deliverable
production ML models | product features | dashboards & analysis | client delivery | infrastructure | physical/clinical work
Required skills
Global financial consolidation, FX accounting (CTA), Treasury management, IFRS (IAS 21, IFRS 9), Derivatives portfolio management, ERP (NetSuite), Treasury Management Systems (TMS), Intercompany financing, Executive reporting
Preferred skills
ACCA, ACA, CPA, CTP, PMP
Technologies
NetSuite, TMS
Responsibilities
Direct global foreign currency translation (CTA) and intercompany accounting; Lead multi-currency monthly close operations; Design and monitor balance sheet hedging strategies; Drive finance and treasury transformation initiatives; Advise on international intercompany financing; Deliver foreign exchange analyses to executive leadership
Seniority
Senior Manager, hands-on IC with strategic oversight