Treasury Expert - Fully Remote | Upto $100/Hr

Mercor

San Francisco (CA)

Hybrid

GBP 88,000 - 104,000

Part time

3 days ago
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Job summary

Mercor seeks a Corporate Treasury Expert for a remote contract role. You will own cash forecasting, FX risk management, and treasury policy development to support multinational liquidity and risk controls.

Requires 4+ years in corporate treasury, with hands-on experience in cash forecasting, hedging, and liquidity management to safeguard cash flow and optimize working capital across borders. Certifications such as CT P / ACT / AMCT / MCT are preferred.

Qualifications

  • 4+ years in a corporate treasury role at an operating company.
  • Hands-on with cash forecasting, hedging, or bank and liquidity management.

Responsibilities

  • Build rolling 13-week direct cash forecasts with receipts, disbursements, and variance explanation.
  • Identify and net FX exposures, analyze fixed and floating rate risk, and design hedges against a corporate policy.
  • Produce hedge designation documentation with periodic effectiveness testing.
  • Analyze working capital performance (DSO/DPO/DIO), bank fees against services, trapped cash and repatriation options, and forecast leverage and covenant headroom.
  • Draft or refresh treasury policy covering liquidity, FX, counterparties, and investment.

Skills

Cash forecasting
Hedging
Bank liquidity management
FX exposure management

Tools

Treasury management systems

Job description

About the job

Mercor connects elite creative and technical talent with leading AI research labs. Headquartered in San Francisco, our investors include Benchmark, General Catalyst, Peter Thiel, Adam D'Angelo, Larry Summers, and Jack Dorsey.

Position: Corporate Treasury Expert
Type: Contract
Compensation: $85–$100/hour
Location: Remote

Role Responsibilities
  • Build rolling 13-week direct cash forecasts with receipts, disbursements, and variance explanation.
  • Identify and net FX exposures, analyze fixed and floating rate risk, and design hedges against a corporate policy.
  • Produce hedge designation documentation with periodic effectiveness testing.
  • Analyze working capital performance (DSO/DPO/DIO), bank fees against services, trapped cash and repatriation options, and forecast leverage and covenant headroom.
  • Draft or refresh treasury policy covering liquidity, FX, counterparties, and investment.
Qualifications
Must-Have
  • 4+ years in a corporate treasury role at an operating company.
  • Hands-on with cash forecasting, hedging, or bank and liquidity management.
Preferred
  • CTP; ACT, AMCT or MCT; treasury management systems.
Assessment
  • A 13-week cash forecast from mock bank and receivables files; an FX exposure netting and hedge recommendation; a covenant headroom forecast.
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