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Manager - Treasury / FX
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Full-time
- Oversee back office and settlement activities for debt, investment, and foreign exchange transactions, ensuring accurate and timely processing.
- Identify and implement process improvements, including automation, to enhance efficiency and accuracy in treasury operations.
- Manage the cash flow hedging program, including the execution of trades, reporting on performance, and implementing necessary controls.
- Execute trades on the 360T platform, ensuring efficient and accurate execution in alignment with the company's hedging strategy.
- Have a strong understanding of hedge accounting principles and apply them effectively in managing the company's hedging program.
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