Treasury Manager - Operations

MongoDB MongoDB · Enterprise · Dublin, Ireland · Global Accounting

Treasury Manager role focused on cash and liquidity management, payment controls, and TMS implementation for EMEA and APAC operations.

What you'd actually do

  1. Execute daily cash positioning, concentration, and funding activities across EMEA bank accounts and multi-currency cash pools
  2. Lead the improvement of internal controls and security protocols for all payments originating from EMEA and APAC entities
  3. Serve as the regional subject matter expert (SME) for the global TMS implementation, coordinating testing and deployment activities for EMEA/APAC entities
  4. Prepare and consolidate regional cash flow forecasts, analyzing FX exposures and working with business leaders to improve forecast accuracy

Skills

Required

  • 5+ years of professional experience in a corporate or banking Treasury function
  • direct experience managing EMEA/multi-currency cash and liquidity
  • Solid experience working with and ideally implementing a major Treasury Management System
  • Advanced Microsoft Excel proficiency
  • Familiarity with complex international banking structures

Nice to have

  • CIMA, ACCA, or equivalent professional certification
  • Certified Treasury Professional (CTP)

What the JD emphasized

  • Kyriba
  • SOX controls
  • local regulatory requirements