Treasury Manager, Cash Management, FX
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I am an experienced Treasury Specialist with a strong background in liquidity management, FX risk hedging, cash forecasting, and funding optimization across multinational environments. Over the past 5, I’ve managed complex multi-currency operations, developed strong banking relationships, and delivered strategic improvements in treasury processes.
My focus is on helping organizations enhance their financial stability through effective cash management, risk mitigation, and process transformation. I thrive in dynamic environments, collaborating with cross-functional teams to deliver high-quality results.
Currently open to opportunities in treasury management, financial risk consulting, or transformation projects. Fluent in English and Spanish, with international experience across Europe and LATAM.
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