A company is looking for a Treasury Manager to oversee global cash operations and financial risk management.
Key Responsibilities
Manage daily cash operations and liquidity management
Execute foreign exchange and hedging transactions
Review and validate cash flow reports and funding requirements
Required Qualifications
Bachelor's degree in Finance, Accounting, Economics, or related field; relevant professional certifications are advantageous
5 years of experience in treasury functions, including cash and liquidity management
Strong analytical and financial modeling skills
Fluent in English; additional languages are a plus
Tech-savviness with treasury systems is an advantage
Treasury Manager • Saint Paul, Minnesota, United States