We're looking for a Senior Treasury Analyst / Treasury Manager to join our finance team and help build a disciplined, commercial and scalable treasury function across the group.
Requirements
- Experience in treasury, corporate finance, banking, payments, or a related finance role
- Strong understanding of liquidity forecasting, cash management, FX, hedging, banking operations and treasury controls
- Experience working across multiple currencies, entities, banks or jurisdictions
- Strong analytical skills and advanced Excel capability
- A practical approach to improving processes, reducing cost leakage and strengthening controls
- High attention to detail and the ability to manage competing priorities
- Strong communication skills and the confidence to engage directly with banks, payment providers and internal stakeholders
- A commercial mindset - you enjoy creating visibility, control and value, not just running the process
Benefits
- Generous Paid Time Off
- 401k Matching
- Retirement Plan
- Visa Sponsorship
- Four Day Work Week
- Generous Parental Leave
- Tuition Reimbursement
- Relocation Assistance