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Mercor is seeking a seasoned treasury professional to join our team in Charlotte, NC. You will own cash forecasting, FX exposure management, and liquidity planning to support corporate strategy and risk controls.
Responsibilities include building 13-week forecasts, hedging design and documentation, and working-capital analysis. This role requires hands-on treasury experience and familiarity with treasury policies and systems. This is a business-critical, on-site position at Mercor.
We're building a high-quality library of corporate treasury work products. You'll complete self-contained treasury exercises from mock files (bank statements, exposure schedules, credit agreements) and produce the deliverable for each, graded against a rubric.
A 13-week cash forecast from mock bank and receivables files; an FX exposure netting and hedge recommendation; a covenant headroom forecast.
this is corporate treasury. Bank asset-liability management, funds transfer pricing and regulatory liquidity reporting are out of scope.