Finance |
Boston, MA

To apply for this role, we invite you to complete an initial video interview. Please follow this link to move forward with the interview process:

Job Description:

  • Manage all banking and funds flow for global operations and subsidiaries
  • Oversee all international funds flow and manage Fx exposure and yield
  • Ensure that sufficient funds are available to meet ongoing operational and capital investment requirements
  • Maintain global banking relationships
  • Manage global collections function
  • Select and implement global cash management platform
  • Implement SEPA program
  • Maintain an efficient system of policies and procedures that adequately control treasury activities


  • Bachelor’s degree in finance or accounting
  • CPA/MBA a plus
  • 10+ years of progressively responsible treasury experience for an international company
  • Demonstrated understanding of Fx management, hedging, bank account management, and international funds flows
  • Experience with cash management platforms
  • Experience with corporate ACH/SEPA
  • Valid passport


  • Comfortable multitasking in a fast-paced environment
  • Highest standards of accuracy and precision; highly organized
  • Articulate with excellent verbal and written communication skills
  • Ability to think creatively, highly-driven and self-motivated
  • Demonstrated ability to roll-up sleeves and work with team members
  • Ability to work independently with a high degree of accountability and ownership