Lead FX risk management as a Treasury Manager in a hybrid role. Drive exposure analysis, trade execution, and support multi-currency cash management across the organization. In this pivotal role, you'll help manage foreign exchange risk management programs while being a trusted advisor on currency issues. Collaborating with cross-functional teams, you will focus on FX insights, strategic transaction support, and ensuring compliance with Treasury policies. This position involves analyzing FX exposures and executing trades, as well as engaging with Treasury and IT to streamline FX systems. Key Responsibilities: • Advise teams on FX risk management strategies • Identify and analyze FX exposure to mitigate risks • Execute FX trades, including derivatives • Manage balance sheet hedging strategies • Support FX initiatives for strategic transactions Requirements: • Bachelor's in economics/finance or quantitative field • 4-6 years in corporate treasury or banking roles • Knowledge of trading derivative instruments • Familiarity with FX trading platforms • Strong analytical and communication skills Become a vital part of financial strategy by managing FX issues and supporting treasury operations with expertise.
FULL TIME
mid
4/10/2026
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