TREASURY & RISK MANAGER – GLOBAL
Onnovo is hiring a Treasury & Risk Manager to oversee global liquidity, FX exposure, and financial risk. The ideal candidate will implement controls and manage banking relationships across key international markets.
Department:
Finance & Treasury
Project Location(s):
India (preferred) or remote
Job Type:
Full time, Employee
Education:
Bachelor’s or Master’s in Finance, Risk Management, or Economics
Responsibilities Include:
- Managing cash flow forecasts, working capital, and liquidity optimization.
- Overseeing global banking relationships and treasury operations.
- Assessing financial risks including currency, interest rate, and credit exposure.
- Recommending and executing hedging strategies.
- Collaborating with finance leads in multiple countries to consolidate risk data.
Qualifications
- 8+ years in treasury or financial risk roles in a multinational environment.
- Deep understanding of FX markets and treasury systems.
- Experience managing cash pools, intercompany loans, and derivative instruments.
- Detail-oriented with strong analytical and problem-solving skills.
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