Corporate Treasury Manager
mastercard · New York
Job description
About the role
Mastercard is seeking a Manager for its Corporate Treasury foreign exchange team in New York. The role will oversee global FX risk, support cross‑border business, and partner with Corporate Finance on hedging activities.
Key responsibilities
- Lead and manage cross‑functional projects related to treasury and foreign exchange initiatives.
- Analyze global initiatives for FX impact and design appropriate hedging solutions.
- Develop detailed project plans with timelines, milestones, and resource allocation.
- Identify and initiate projects that leverage favorable market conditions and improve operational performance.
- Prepare and present project status reports to senior management.
- Execute FX trades to support cross‑border business and manage global FX risk.
- Manage relationships with FX trading counterparties and external vendors.
- Provide FX analysis support to financial planning, technical accounting, settlements, and product teams.
- Review SEC disclosures related to foreign currency derivatives and support Sarbanes‑Oxley controls, internal and external audits.
Required profile
- Proven experience in project management delivering complex projects on time and within budget.
- Strong leadership abilities with experience guiding cross‑functional teams.
- Excellent problem‑solving and communication skills, both written and verbal.
- Ability to define problems, collect data, establish facts, and draw valid conclusions.
Required skills
- FX trading knowledge.
- Hedge accounting concepts.
- Understanding of SEC disclosure requirements for foreign currency derivatives.
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Published 1 month ago
Expires 1 day from now
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mastercard
New York