Director, International Treasury
Core
Lead global cash management strategies, FX risk mitigation, and working capital optimization for a multinational corporation.
Role type
Director, International Treasury (Senior IC)
Builds
Global liquidity solutions, hedging strategies, and digital treasury reporting systems
Domain
Corporate Finance / Global Treasury
Deliverable
production ML models | product features | dashboards & analysis | client delivery | infrastructure
Required skills
Cross-border liquidity management, FX risk management, Working capital optimization, Global banking frameworks, Treasury systems, Hedging practices
Preferred skills
MBA, CTP certification
Technologies
Treasury systems, Working capital tools
Responsibilities
Manage cross-border liquidity and cash movements, Anticipate and respond to FX volatility and regulatory shifts, Optimize capital structures and support working capital programs, Partner with Tax, Legal, and M&A on strategic transactions, Drive automation and digital treasury solutions
Seniority
Director, strategic leadership & execution