Senior Specialist, Treasury
Core
Operational and strategic management of foreign currency risks, cash, and liquidity for a global management consultancy.
Role type
Senior Specialist, Treasury (FX Focus)
Builds
FX exposure reports, hedging strategies, treasury management systems, and financial closings.
Domain
Corporate Treasury / Foreign Exchange / Management Consultancy
Required skills
FX management, currency risk management, hedging instruments, treasury products, cash management, liquidity planning, treasury management systems, Excel, Power BI
Preferred skills
Power BI, reporting tools
Responsibilities
Analyze global currency positions and prepare exposure reports, develop and monitor FX hedging strategies, manage cash and liquidity in an international environment, support financial closings, ensure compliance with policies and regulations, optimize and digitize treasury processes.
Seniority
Senior, hands-on IC