Global Treasury Manager: Cash, FX & Liquidity Strategy

Talentify

Alpharetta (GA)

On-site

USD 98,000 - 142,000

Full time

14 days+
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Benefits offered by this job

PTO
11 paid holidays
Tuition reimbursement
Pet insurance
Retirement plan

Job summary

Landis+Gyr is seeking a Senior Treasury Leader for the Americas to drive cash forecasting, liquidity planning, and funding optimization across US entities. You will minimize financial risk through hedging strategies and manage intercompany loans, cash pooling, and banking connectivity.

The role requires extensive treasury expertise in an international context, strong knowledge of FX and interest rate hedging, and proficiency with TMS, Bloomberg, and trading tools.

Qualifications

  • 7+ years of professional experience in treasury, with 5+ years in international groups.
  • Experience in FX, cash management, liquidity, and hedging.
  • Proficient in Treasury Management System, Bloomberg, and trade services.
  • Fluent in English (written and spoken).

Responsibilities

  • Lead Americas cash forecasting and liquidity planning.
  • Manage funding, intercompany loans, and cash pooling.
  • Implement hedging strategies and monitor currency exposure.
  • Ensure SOX/US GAAP compliant treasury controls.

Skills

English fluent
Treasury strategy
Risk management
Forecasting
Stakeholder management

Education

Bachelor's degree in finance or related field
Professional certifications (CTP, CFA)
Master's preferred

Tools

Treasury Management System
Bloomberg
360T
Excel
Banking platforms

Job description

Landis+Gyr is seeking a Senior Treasury Leader for the Americas to drive cash forecasting, liquidity planning, and funding optimization across US entities. You will minimize financial risk through hedging strategies and manage intercompany loans, cash pooling, and banking connectivity.

The role requires extensive treasury expertise in an international context, strong knowledge of FX and interest rate hedging, and proficiency with TMS, Bloomberg, and trading tools.

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