Related skills
forecasting treasury governance funding liquidity📋 Description
- Design and evolve global liquidity framework across entities and currencies.
- Oversee liquidity strategy, forecasting, funding optimization, and risk.
- Collaborate with Treasury, Finance, Risk, Legal, Product, Tech, and partners.
- Lead forecasting and analytics; shape governance and operational resilience.
- Develop scalable liquidity forecasting frameworks and intercompany funding.
- Explore emerging technologies like stablecoins and tokenized deposits.
🎯 Requirements
- 8–12+ years in Treasury, Liquidity, or Cash Management at global institutions.
- Bachelor's degree in Finance, Accounting, Economics, or related field.
- Strong governance, liquidity risk management, and multi-currency funding.
- Experience with TMS, liquidity analytics platforms, and reporting.
- Excellent stakeholder management and cross-functional collaboration.
- Experience with emerging liquidity tools (stablecoins, tokenized deposits).
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