Global Treasury Leader: Cash, FX & Risk Strategy

INSIGHTEC

Miami (FL)

On-site

USD 180,000 - 240,000

Full time

39 hours ago
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Job summary

Insightec, a growing medical technology company, seeks a Global Treasurer to lead treasury operations, policies, forecasting, and risk management across a multinational footprint. You will manage cash, banking relationships, letters of credit, and investments while driving internal controls and SOX compliance.

The role requires advanced financial modeling, multinational exposure, and strong English communication.

Qualifications

  • Bachelor's degree in Finance, Accounting or related field.
  • MBA, CPA, CFA or CTP preferred.
  • At least five years of leadership in cash management, treasury and insurance risk.
  • Multinational experience with foreign currency.
  • Strong financial modeling and analytical skills.
  • Ability to build and lead high-performing teams.
  • Proficient in treasury tech, bank platforms, and MS Office.
  • Excellent English verbal and written communication.

Responsibilities

  • Manage all global treasury operations, policies, controls and compliance.
  • Oversee daily cash operations across currencies and forecasting.
  • Develop cash flow forecasts and monitor budget deviations.
  • Lead letters of credit / guarantees and banking relationships.
  • Manage global insurance, FX and interest rate risk programs.
  • Oversee treasury technology, eBanking and banking services.
  • Coordinate investment activities and risk-adjusted returns.
  • Ensure SOX control documentation and internal audit collaboration.
  • Contribute to a culture of integrity, innovation and excellence.

Skills

Financial modeling
Cash management
Treasury leadership
Banking platforms
eBanking portals
MS Excel
PowerPoint
English communication
SOX compliance

Education

Bachelor's degree in Finance/Accounting
MBA, CPA, CFA, or CTP (preferred)

Tools

Treasury management systems

Job description

Insightec, a growing medical technology company, seeks a Global Treasurer to lead treasury operations, policies, forecasting, and risk management across a multinational footprint. You will manage cash, banking relationships, letters of credit, and investments while driving internal controls and SOX compliance.

The role requires advanced financial modeling, multinational exposure, and strong English communication.

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