Treasury Manager, FX and Trade Finance
A company is looking for a Treasury Manager, FX and Trade Finance. Key Responsibilities Implement hedging strategies and risk management practices to safeguard against FX volatility Oversee daily FX trading operations, ensuring effective and timely execution Manage and optimize global FX risks and processes Required Qualifications Bachelor's Degree in Business Administration or equivalent 6+ years of experience in an international corporate FX position or a similar role Background in fast-scaling startups or major global corporations is an advantage Project management experience is a plus CPA or CFA are considered a plus
