San FranciscoFull TimeFinance
Remotely
treasury managementcapital marketsliquidity managementkyribacash forecastingbloombergclearwaterforeign exchange (fx)
Job Description
📋 Description
- Oversee daily global liquidity, manage global cash forecasting processes, and ensure cash
- Lead global bank account management including strategic account opening and closing, maintaining
- Support capital markets activities, debt/equity issuance, capital structure analysis, and execution
- Lead or co-lead the global FX exposure identification and analysis.
- Own Treasury SOX controls, reporting, and policy compliance, ensuring a robust framework of
- Support the ongoing and optimization of the Kyriba Treasury Management System.
🎯 Requirements
- Minimum 6+ years of relevant experience in global corporate treasury, capital markets, or
- Hands-on experience executing FX hedging strategies and supporting capital markets or debt/equity
- Demonstrated experience in international and US Treasury cash management and subsidiary liquidity
- Strong communication skills, ability to multitask across complex initiatives, and high attention to
- Direct experience with treasury management systems (Kyriba), Bloomberg, Clearwater, and major
🎁 Benefits
- Equity (where applicable)
- Bonus
- Health, dental, and vision insurance
- 401(k)
- Flexible spending account
- Paid leave (including PTO and parental leave)
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