Senior Treasury Manager
NexthinkParisFull TimeFinance
Remotely
excelbankingintercompanykycfx hedgingcash forecastingdebt covenant
Job Description
📋 Description
- Be the main point of contact for global banking relationships
- Produce a Monthly Cash Forecast
- Optimize bank account structure and global cash pooling
- Collaborate on global cash repatriation and intercompany funding
- Maintain debt covenant compliance and support financing
- Lead FX hedging program and foreign currency risk management
🎯 Requirements
- Bachelor’s or Master’s in accounting or finance
- Minimum 5 years in corporate treasury
- CPA/CTP/CFA preferred
- English proficiency in global environment
- Hands-on, proactive, fast-paced
- High proficiency in Excel
🎁 Benefits
- Hybrid work model in a global finance org
- Challenging, fast-paced international environment
- Collaborative cross-functional team
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