Manager, Corporate Treasury
Core
Manage daily FX trading, risk management, and the implementation of new processes to support cross-border payment initiatives.
Role type
Manager, FX Trading & Strategy
Builds
FX trading capabilities, automated workflows, and risk management strategies for corporate treasury.
Domain
Financial Services / Foreign Exchange Markets
Deliverable
production ML models | product features | dashboards & analysis | client delivery | infrastructure
Required skills
FX trading (spot, forward, NDFs), risk management, corporate finance, capital markets, algorithmic trading, project management, leadership
Preferred skills
Pricing and risk management algorithm design, exotic currency trading, MBA, CFA
Technologies
MS Excel, PowerPoint
Responsibilities
Develop new foreign exchange capabilities, define FX desk workflows and policies, execute FX risk management programs, monitor trade executions and positions, analyze market trends, onboard trading partners, support system testing, evaluate revenue opportunities.
Seniority
Manager, hands-on IC with team leadership