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3 hours ago
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πŸ“‹ Description

  • Manage daily global cash position across entities.
  • Execute daily cash positioning and funding activities.
  • Monitor liquidity across currencies and entities.
  • Maintain liquidity buffers to support operations.
  • Manage banking infrastructure and key relationships.
  • Oversee wire transfers and intercompany funding.

🎯 Requirements

  • 8–12+ years in treasury, corporate finance, or cash mgmt.
  • Global liquidity management across multiple entities and currencies.
  • Experience with treasury operations and banking infrastructure.
  • Experience administering banking portals and payment platforms.
  • Familiarity with using AI tools to enhance workflows and productivity.

🎁 Benefits

  • Full medical, dental, vision package
  • Flexible vacation policy; take time when you need it
  • Pet discount plans
  • 401K retirement plan with company match
  • Opportunity to work with sharp, motivated teammates
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