Cash and Risk Manager
Core
Overseeing global treasury activities including cash management, liquidity, financial risk mitigation, and funding optimization for a global food ingredients business.
Role type
Senior IC Cash and Risk Manager
Builds
Global liquidity solutions, hedging programs, and optimized capital structures
Domain
Global Finance / Treasury / Risk Management
Deliverable
production ML models | product features | dashboards & analysis | client delivery | infrastructure | physical/clinical work
Required skills
Global cash management, liquidity forecasting, FX and commodity hedging, debt issuance and refinancing, stakeholder engagement, treasury reporting, compliance management, project leadership
Preferred skills
Advanced degrees or certifications (CTP, CRMP, AMCT, CPA), proficiency in treasury management systems, knowledge of international financial regulations
Technologies
Treasury management systems, financial software
Responsibilities
Manage global liquidity, cash forecasting, and investment activities; Lead FX, interest rate, credit, and commodity risk management programs; Oversee funding activities, debt issuance, and capital structure management; Manage relationships with banks and financial institutions; Provide treasury reporting and financial analysis; Lead treasury projects and process improvements
Seniority
Senior, hands-on IC with team management