Global Treasury & FX Strategy Manager

US Diversity Job Search

Westerville (OH)

On-site

USD 110,000 - 145,000

Full time

14 days+
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Job summary

Vertiv in Westerville, OH seeks a Treasury Manager to partner with the Assistant Treasurer on debt management, FX hedging, and liquidity strategies across global operations. You will drive risk management, reporting, and compliance with accounting, tax, and lenders.

You will lead cross-functional initiatives, evaluate capital markets opportunities, and support M&A funding activities while ensuring robust governance and data-driven decision making in a fast-paced environment.

Qualifications

  • Bachelor's degree in finance or related field.
  • At least 8 years of progressive treasury or corporate finance experience.
  • Proficiency with Excel, Outlook, and online bank systems.
  • Master's degree in finance or business preferred.
  • Licensed CTP preferred (Certified Treasury Professional).

Responsibilities

  • Work closely with Assistant Treasurer on FX hedging strategy and execution.
  • Manage execution of FX and commodities trades and capital markets transactions.
  • Develop, enhance, and standardize treasury processes with controls where possible.
  • Build out reporting framework, design and execution of reporting strategies.
  • Present recommendations to executive management and regional leaders with data-driven analysis.
  • Support treasury due diligence for M&A activities, including funding strategies.
  • Integrate acquisitions or divestitures into treasury processes.
  • Coordinate with accounting, tax, legal and lenders to ensure accurate reporting and compliance.

Skills

Analytical skills
Verbal & written communication
Attention to detail
Discretion
Cross-functional collaboration

Education

Bachelor's degree in finance
Master's degree in finance or business
CTP certification

Tools

Excel
Outlook
Online banking systems

Job description

Vertiv in Westerville, OH seeks a Treasury Manager to partner with the Assistant Treasurer on debt management, FX hedging, and liquidity strategies across global operations. You will drive risk management, reporting, and compliance with accounting, tax, and lenders.

You will lead cross-functional initiatives, evaluate capital markets opportunities, and support M&A funding activities while ensuring robust governance and data-driven decision making in a fast-paced environment.

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