Related skills
foreign exchange fx risk management capital allocation risk management frameworks treasury policiesπ Description
- Design, build, and implement FX risk management program (policy, hedges, ops)
- Develop and execute corporate cash investment strategies with managers and in-house
- Establish risk management frameworks for liquidity, interest rate, counterparty risk
- Create scalable Treasury policies and governance controls
- Develop reporting and analytics on Treasury performance and risk
- Partner with FP&A to support liquidity forecasting and capital allocation
π― Requirements
- 8+ years in Treasury, corporate finance, or portfolio management with FX focus
- Proven track record scaling Treasury programs in high-growth tech
- Strong understanding of hedging instruments, investment products, and risk frameworks
- Experience developing and implementing Treasury policies and controls
- Exceptional analytical skills for complex financial data
- Outstanding communication to explain Treasury concepts to non-finance
π Benefits
- Annual salary range: $300,000 β $370,000 USD
- Equity donation matching (optional)
- Generous vacation and parental leave
- Flexible working hours
- Office space in San Francisco
π Visa sponsorship
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