Corporate Treasury Manager – FX Risk & Projects
mastercard · New York
Job description
About the role
Mastercard is seeking a seasoned Treasury professional to lead its foreign exchange team. The role focuses on managing global FX risk, supporting cross‑border business, and driving treasury initiatives across the organization.
Key responsibilities
- Lead and manage cross‑functional treasury and FX projects from conception to delivery.
- Analyze global initiatives for FX impact and design appropriate hedging solutions.
- Develop detailed project plans, timelines, milestones, and resource allocations.
- Identify and initiate projects that leverage favorable market conditions.
- Prepare and present status reports to senior leadership.
- Execute FX trades, manage hedging strategies, and oversee relationships with counterparties and vendors.
- Provide FX analysis support to finance, accounting, settlements, and product teams.
- Review SEC disclosures related to foreign currency derivatives and support SOX controls and audits.
Required profile
- Proven project‑management experience delivering complex initiatives on time and budget.
- Strong leadership with a collaborative, cross‑functional approach.
- Excellent problem‑solving and communication skills.
- Ability to define problems, collect data, and draw valid conclusions.
- Knowledge of accounting concepts, including hedge accounting.
Required skills
- FX trading
- Hedge accounting
- Project management
What we offer
- High‑visibility role influencing global FX risk management.
- Opportunities to work with senior leaders and cross‑functional teams.
- Competitive compensation and benefits package.
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Published 1 month ago
Expires 1 week from now
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mastercard
New York
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