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FX Manager – Corporate Treasury
Company | Mastercard |
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Location | White Plains, NY, USA |
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Salary | $129000 – $206000 |
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Type | Full-Time |
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Degrees | Bachelor’s, MBA |
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Experience Level | Senior, Expert or higher |
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Requirements
- Proven experience in project management, with a track record of successfully leading and delivering complex projects on time and within budget
- Strong leadership abilities, with experience in guiding cross-functional teams and fostering a collaborative work environment
- Strong problem-solving skills, with the ability to anticipate challenges and develop effective solutions
- Excellent communication skills, both written and verbal, with the ability to clearly articulate project goals, expectations, and progress to stakeholders
- Proven ability to define problems, collect data, establish facts, and draw valid conclusions
- Knowledge of accounting concepts including hedge accounting, mark-to-market, balance sheet remeasurement, and SEC disclosures
- Strong knowledge of internal controls and experience as a control process owner
- Excellent analytical and problem-solving skills; experienced with MS Excel and PowerPoint
- Experience delivering presentations and engaging with senior leadership
- Successfully drive and integrate change; cultivate a continuous improvement culture
- Bachelor’s degree or equivalent qualification.
Responsibilities
- Lead and manage cross-functional projects to ensure successful delivery of treasury and foreign exchange initiatives
- Analyze initiatives across the globe to determine any FX impacts; design and implement appropriate hedging solutions
- Develop detailed project plans, including timelines, milestones, and resource allocation
- Proactively identify and initiate projects that capitalize on favorable market conditions and improve operational performance
- Prepare and present project status reports to senior management
- Determine and execute FX trades to support Mastercard’s cross border business and manage global FX risk; drive hedging strategies
- Manage relationships with FX trading counterparties and outside vendors
- Support other functions (e.g. financial planning & analysis, technical accounting, settlements, and product) with FX analysis
- Review SEC disclosures related to foreign currency derivatives
- Sarbanes-Oxley controls; support internal and external audits
Preferred Qualifications
- Advanced degree or MBA preferred
- Prior FX risk management, corporate treasury, accounting, or financial planning experience is preferred