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Weekday AI

Corporate Treasury Expert

УдалённоUnited States только
Опубликовано
Роль
Финансы
Опыт
Синьор
Занятость
Contract
$2k
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Коротко по делу

Experienced corporate treasury professionals with 4+ years of experience in an operating company are sought for project-based work. The role involves creating high-quality treasury work products, including cash flow forecasts, FX exposure analysis, and hedging strategies. Must have hands-on experience in liquidity, cash forecasting, FX, hedging, banking, debt, and treasury risk management.

Желательные навыки

CTPACTAMCTMCT

Чем предстоит заниматься

  • Build rolling 13-week direct cash flow forecasts, including receipts, disbursements, liquidity requirements, and variance analysis.
  • Identify, quantify, and net foreign exchange exposures across currencies and assess appropriate hedging strategies.
  • Analyze fixed- and floating-rate interest exposure and recommend hedging approaches consistent with corporate treasury policies.
  • Prepare hedge designation documentation and perform periodic hedge effectiveness testing.
  • Analyze working capital metrics, including: DSO, DPO, DIO, Cash conversion cycle.
  • Evaluate bank fees against services received and identify opportunities for optimization.
  • Analyze trapped cash, repatriation alternatives, and cross-border liquidity considerations.
  • Forecast leverage, liquidity, and covenant headroom under different scenarios.
  • Draft, review, or update treasury policies covering liquidity management, FX risk, counterparties, investments, and related controls.
  • Translate financial and operational data into clear treasury recommendations and decision-ready deliverables.

Что требуется

  • 4+ years of professional experience in a corporate treasury role within an operating company.
  • Hands-on experience with one or more of the following: Cash and liquidity management, Cash forecasting, FX exposure management, Hedging, Bank relationship management, Debt and covenant management, Treasury risk management.
  • Strong understanding of corporate treasury processes, controls, policies, and risk management.
  • Ability to independently analyze financial information and produce accurate, practical recommendations.
  • Strong attention to detail and excellent written communication skills.
  • Comfortable working with structured datasets, financial models, and treasury documentation.
  • Preferred: Certified Treasury Professional (CTP) certification.
  • Preferred: ACT, AMCT, or MCT qualification.
  • Preferred: Experience working with treasury management systems (TMS).
  • Preferred: Experience managing multi-currency operations, international liquidity, or complex banking structures.
  • Preferred: Familiarity with hedge accounting and treasury policy frameworks.
  • This opportunity is focused specifically on corporate treasury within operating companies.
  • Experience limited to bank asset-liability management, funds transfer pricing, or regulatory liquidity reporting is outside the scope of this role.
  • You will be engaged as an independent contractor.
  • Work will not require access to confidential or proprietary information belonging to any employer, client, or institution.
  • Candidates requiring H-1B or STEM OPT sponsorship are not eligible for this opportunity at this time.

Преимущества

  • Fully remote
  • Flexible project-based engagement
  • Self-contained corporate treasury exercises
  • Deliverables evaluated against structured quality criteria
  • Opportunities may be extended based on project requirements and performance
  • Payments are made weekly based on services rendered through supported payment platforms

Weekday AI is a Y Combinator-backed startup transforming the hiring landscape with outreach tools and a database of white-collar talent, delivering recruitment solutions.

RecruitmentСтартап

Детали

Спонсорство визыНет
$2k