1

Global Treasury Manager Jobs (NOW HIRING)

Company Overview Rhythm is a global, commercial-stage biopharmaceutical company committed to ... Opportunity Overview Rhythm Pharmaceuticals is seeking a Treasury Manager to ensure the smooth ...

Company Overview Rhythm is a global, commercial-stage biopharmaceutical company committed to ... Opportunity Overview Rhythm Pharmaceuticals is seeking a Treasury Manager to ensure the smooth ...

Reporting to the Senior Treasury Manager, this role will oversee cash management, liquidity planning, risk oversight, and global treasury operations. This position will be directly involved in the ...

We are seeking a Global Treasurer at the Manager level to lead international treasury operations, ensuring optimal liquidity, risk management, and compliance across multiple regions. This role ...

Treasury Manager

Spring, TX · On-site

$140K - $150K/yr

Description The successful Treasury Manager will ... Manage daily cash positions across multiple global entities and bank accounts Develop and maintain ...

next page

Showing results 1-20

Global Treasury Manager information

See salary details

$49.5K

$105.7K

$150.5K

How much do global treasury manager jobs pay per year?

As of Jul 7, 2026, the average yearly pay for global treasury manager in the United States is $105,672.00, according to ZipRecruiter salary data. Most workers in this role earn between $87,000.00 and $121,500.00 per year, depending on experience, location, and employer.

What are some common challenges faced by a Global Treasury Manager when working with international teams?

Global Treasury Managers often navigate complex financial regulations, currency fluctuations, and diverse banking systems across different countries. Coordinating cash management, liquidity planning, and compliance with local and international laws requires strong communication and adaptability. Building effective relationships with cross-border teams and external partners is critical for ensuring smooth treasury operations and mitigating financial risks.

What are the key skills and qualifications needed to thrive as a Global Treasury Manager, and why are they important?

To thrive as a Global Treasury Manager, you need a solid understanding of cash management, foreign exchange, risk assessment, and financial analysis, typically supported by a bachelor's or master's degree in finance, accounting, or a related field. Experience with treasury management systems (TMS), financial modeling tools, and relevant certifications such as CTP (Certified Treasury Professional) are highly valued. Strong analytical thinking, attention to detail, and excellent communication skills help foster effective collaboration across regions and departments. These competencies are crucial for managing global liquidity, minimizing financial risk, and supporting the company’s strategic financial goals.

What does a Global Treasury Manager do?

A Global Treasury Manager oversees a company’s international cash flow, liquidity, and financial risk management. They are responsible for managing global banking relationships, optimizing corporate cash positions across different countries, and ensuring compliance with local and international financial regulations. Their role also involves developing strategies to minimize foreign exchange risks and support the company’s global financial operations, often working closely with finance, accounting, and executive teams.
More about Global Treasury Manager jobs
What cities are hiring for Global Treasury Manager jobs? Cities with the most Global Treasury Manager job openings:
What states have the most Global Treasury Manager jobs? States with the most job openings for Global Treasury Manager jobs include:
What job categories do people searching Global Treasury Manager jobs look for? The top searched job categories for Global Treasury Manager jobs are:
Infographic showing various Global Treasury Manager job openings in the United States as of July 2026, with employment types broken down into 85% Full Time, 10% Part Time, 1% Temporary, 3% Contract, and 1% Nights. Highlights an 89% Physical, 3% Hybrid, and 8% Remote job distribution, with an average salary of $105,672 per year, or $50.8 per hour.
Global Treasury Manager

Global Treasury Manager

Jacques Marie Mage, Inc

Los Angeles, CA • On-site

$125K - $165K/yr

Full-time

Posted 14 days ago


Job description

About the Company
Founded in 2014 by Jerome Jacques Marie Mage, Jacques Marie Mage is a Los Angeles-based producer of limited-edition designer goods specializing in the microproduction of luxury eyewear for a clientele of discerning tastes. With each new collection, JMM embraces a unique palette of precious materials, rich colors, and striking geometric forms, which cleverly reference and beautifully reconfigure the striking individuals, artistic movements, and world events of previous centuries. All JMM eyewear is ethically sourced and produced with the utmost respect for industry partners' environment and wellbeing.
About the Role
The Global Treasury Manager will work closely with the CFO to implement global treasury strategies that align with the organization's financial goals, managing cash liquidity, and optimizing returns. This role involves overseeing global cash pooling, hedging programs, and risk management strategies, as well as coordinating financing and funding solutions. Additionally, the Treasurer will lead the development of treasury management systems and ensure compliance with international financial regulations across multiple jurisdictions. The position is Hybrid. On-site in our West Hollywood HQ on a 2/1/2 schedule.
Responsibilities
  • Work with the CFO to implement global treasury strategies that align with the organization's overall business objectives and financial goals.
  • Manage the global cash position to ensure each company of the Group has sufficient liquidity to support operations while optimizing returns on excess cash.
  • Lead the implementation and management of global cash pooling structures, cash concentration, and intercompany funding strategies across multiple currencies and regions.
  • Develop and maintain global cash forecasting models to predict short- and long-term liquidity needs and make informed decisions about financing, investments, and cash utilization.
  • Design and manage hedging programs to address global risk exposure, ensuring compliance with hedge accounting and financial reporting standards. Provide regular updates to senior management on the effectiveness and impact of risk management strategies.
  • Execute foreign exchange hedging strategies and manage the use of financial instruments such as forwards, options, and swaps.
  • In Coordination with the CFO, oversee global banking networks, negotiate banking services, credit facilities and financing options, ensuring the company benefits from competitive terms and efficient cash management solutions.
  • Develop and manage global funding strategies, including access to credit lines, debt issuance, and capital structure optimization.
  • Oversee the implementation and management of treasury management systems and tools to automate cash management, liquidity forecasting, and risk management processes.
  • Collaborate with IT and finance teams to optimize the integration of treasury systems with ERP and other financial platforms.
  • Continuously monitor and improve treasury operations, identifying opportunities for process efficiency and automation.
  • Establish and maintain policies and procedures to ensure consistent treasury practices and compliance with local regulations across all regions.
  • Develop and execute global risk management strategies to protect against interest rate, commodity price, and other financial risks.
  • Work with the Director of Consolidated Reporting and Tax Compliance to ensure compliance with international financial regulations, accounting standards (such as IFRS or GAAP), and local treasury regulations across all jurisdictions.
  • Prepare global treasury reports for senior leadership, including cash flow, liquidity, hedging activities, and risk management metrics.
  • Coordinate with internal and external auditors to ensure transparency and accuracy in treasury activities.

Key Requirements
  • 8-10 years' experience. A long tenure with the same company a plus.
  • Experienced within a consumer goods company.
  • Proven experience in managing global cash, liquidity, foreign exchange, and risk management strategies.
  • Familiarity with different types of financing (bank loans, syndicated loans, assets-backed lending, factoring, reverse factoring, revenue-based loans, subordinated debt raising, etc.).
  • Strong understanding of international banking, financing, and regulatory environments, including those related to foreign exchange and international banking.
  • Strong connections within the banking and financial institution community.
  • Ability to navigate and manage complex, cross-border treasury activities across multiple jurisdictions.
  • Experience in the implementation of a treasury management system a plus.
  • Strong oral and written communication skills.
  • Extensive experience with Excel, including complex formulas, pivot tables, lookups, macros. Familiarity with NetSuite a plus.

Equal Opportunity Statement
Jacques Marie Mage is a company that respects the uniqueness of each employee and offers everyone the means to find their place and thrive. We promote initiatives aimed at supporting professional equality for everyone. We strive to go above and beyond purely symbolic measures by building a culture focused on meaningful strategies aimed at creating an inclusive workforce.