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Updated 2026-06-11 05:00 UTC·© 2025–2026 RoleSuite
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Treasury Manager, FX and Investments

Jobgether · US

This position is listed on behalf of a partner company, who manages all applications and next steps. Our partner is looking for a Treasury Manager based in the United States.

This role offers a unique opportunity to build and lead a global FX and investment treasury function from the ground up within a large-scale international organization. You will be responsible for defining hedging strategies, executing FX transactions, and optimizing liquidity across multi-currency operations while shaping the systems and processes that support global treasury at scale. Acting as a key partner to Accounting, FP&A, and external financial institutions, you will ensure accurate exposure management, risk mitigation, and efficient cash deployment. The position blends strategic design with hands-on execution, requiring both strong technical treasury expertise and the ability to operate in fast-moving, cross-functional environments. You will also play a central role in improving treasury infrastructure, including system integration and automation initiatives. This is a high-impact role for a builder-minded professional ready to influence how a global company manages financial risk and liquidity.

Accountabilities

You will be responsible for building, executing, and continuously improving global treasury operations focused on FX risk management, liquidity optimization, and investment strategy, while ensuring strong governance and cross-functional alignment.

  • Define and manage the end-to-end FX hedging program, including exposure identification, hedge execution, settlement, and performance tracking
  • Execute FX transactions and manage balance sheet hedging across multiple global entities and currencies
  • Develop FX exposure reporting, forecasting models, and intercompany netting strategies to reduce risk and optimize costs
  • Oversee global liquidity management, including cash positioning, short-term investments, and intercompany funding structures
  • Support debt portfolio management activities, including interest payments, swaps, covenant tracking, and compliance reporting
  • Partner with Accounting and FP&A to ensure accurate month-end close processes and forecasting of FX, derivatives, and investment impacts
  • Produce executive-level reporting on liquidity, hedge performance, FX exposure, and overall treasury risk position
  • Lead enhancements to treasury systems, including NetSuite integration and automation of manual workflows
  • Requirements

    You bring strong hands-on treasury experience combined with deep technical expertise in FX, liquidity management, and financial systems, along with a builder mindset suited for a global, evolving environment.

    • 5+ years of experience in corporate treasury, including hands-on FX trading and short-term investment execution
    • Strong understanding of FX accounting, hedge accounting, and how FX impacts financial statements
    • Experience working in a global, multi-entity, multi-currency organization
    • Solid knowledge of FX derivatives, money markets, and treasury trading platforms
    • Advanced Excel and financial modeling capabilities with strong analytical rigor
    • Bachelor’s degree in Finance, Accounting, Economics, or a related field
    • Experience collaborating cross-functionally with Finance, Accounting, and external banking partners
    • Strong ownership mindset with the ability to design processes, build structure, and operate independently
    • Bonus: MBA, CFA, or CPA designation and experience with NetSuite or treasury system implementations
    • Benefits

      • Competitive annual compensation ranging from approximately $89,300 to $228,700 USD depending on location and experience
      • Fully remote work flexibility within the United States
      • Comprehensive medical, dental, and vision insurance from day one
      • 401(k) retirement plan with company matching contributions
      • Unlimited paid time off plus paid holidays and wellness days
      • Paid parental leave for all parents, with extended leave for birthing parents
      • Health savings, flexible spending, and commuter benefit options
      • Mental health support, wellness programs, and employee assistance resources
      • Professional development opportunities through learning platforms and training programs
      • Equity participation and long-term incentive opportunities

Finance pay context

Based on 2,579 disclosed Finance salaries on RoleSuite, the role pays a median of $117K/year, with most offers between $90K and $160K (10th–90th percentile: $70K–$200K).

This posting lists $89K–$229K, above the $117K market median.

See the full Finance salary breakdown →
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