About the Opportunity
In this role, you’ll manage daily cash positions, forecasting, and payment oversight while ensuring strong controls and compliance. You’ll take ownership of all bank account management activities, including openings, closures, documentation, mandates, and user access across multiple regions and currencies. You’ll maintain accurate data in Kyriba, coordinate KYC requirements with internal teams and banking partners, produce reporting for leadership, and help improve treasury workflows and system processes.
About You
You’re an experienced treasury professional with a strong background in cash management and global bank account oversight. With around seven years of experience - ideally in a multi-entity, international environment. You understand treasury operations, banking practices, KYC, and governance requirements. You’re detail focused, collaborative, and confident managing large, complex account structures. Experience with treasury systems (especially Kyriba) is a strong requirement, and you’re someone who naturally looks for ways to streamline processes.






