This will include managing our hedging strategies across FX products (Spot, Forwards & NDFs in the US timezone). * Working closely with Treasury Data Analysts & Scientists to assess risk over ...
This will include managing our hedging strategies across FX products (Spot, Forwards & NDFs in the US timezone). * Working closely with Treasury Data Analysts & Scientists to assess risk over ...
Group Treasury Manager
Manhattan, NY · On-site
$180 - $230/hr
Monitoring FX costs and identifying optimisation opportunities * Working with banking partners to ... Treasury reporting and payment workflows * NetSuite What makes you the perfect fit We're looking ...
Group Treasury Manager
Manhattan, NY · On-site
$180 - $230/hr
Monitoring FX costs and identifying optimisation opportunities * Working with banking partners to ... Treasury reporting and payment workflows * NetSuite What makes you the perfect fit We're looking ...
Head of Treasury Markets
San Francisco, CA · On-site
$266K - $295K/yr
FX & Cash Flow Hedging * Design and operate FX balance sheet and cash flow hedging programs that ... Support other areas in Treasury as needed, especially Treasury Operations, Trade Finance, and ...
Head of Treasury Markets
San Francisco, CA · On-site
$266K - $295K/yr
FX & Cash Flow Hedging * Design and operate FX balance sheet and cash flow hedging programs that ... Support other areas in Treasury as needed, especially Treasury Operations, Trade Finance, and ...
Contractor - Treasury
Deerfield, IL · On-site
Treasury Systems Management -Responsible for maintenance of Corporate Treasury's SharePoint site ... FX & Exposure Management: -Calculate and enter North American FX exposures -Support analysis of ...
Contractor - Treasury
Deerfield, IL · On-site
Treasury Systems Management -Responsible for maintenance of Corporate Treasury's SharePoint site ... FX & Exposure Management: -Calculate and enter North American FX exposures -Support analysis of ...
Treasury Systems Management -Responsible for maintenance of Corporate Treasury's SharePoint site ... FX & Exposure Management: -Calculate and enter North American FX exposures -Support analysis of ...
Treasury Systems Management -Responsible for maintenance of Corporate Treasury's SharePoint site ... FX & Exposure Management: -Calculate and enter North American FX exposures -Support analysis of ...
Treasury Manager
Boston, MA · On-site
$110 - $165/hr
Foreign Exchange (FX) Management * Assist in monitoring FX exposure to meet policy objectives ... Serve as a reliable Treasury partner to Accounting, Tax, FP&A, AP, Payroll, and other stakeholders ...
Treasury Manager
Boston, MA · On-site
$110 - $165/hr
Foreign Exchange (FX) Management * Assist in monitoring FX exposure to meet policy objectives ... Serve as a reliable Treasury partner to Accounting, Tax, FP&A, AP, Payroll, and other stakeholders ...
Treasury Manager
Boston, MA · On-site
Foreign Exchange (FX) Management * Assist in monitoring FX exposure to meet policy objectives ... Serve as a reliable Treasury partner to Accounting, Tax, FP&A, AP, Payroll, and other stakeholders ...
Quick apply
Treasury Manager
Boston, MA · On-site
Foreign Exchange (FX) Management * Assist in monitoring FX exposure to meet policy objectives ... Serve as a reliable Treasury partner to Accounting, Tax, FP&A, AP, Payroll, and other stakeholders ...
Treasury Manager
Boston, MA · On-site
Foreign Exchange (FX) Management * Assist in monitoring FX exposure to meet policy objectives ... Serve as a reliable Treasury partner to Accounting, Tax, FP&A, AP, Payroll, and other stakeholders ...
Treasury Manager
Boston, MA · On-site
Foreign Exchange (FX) Management * Assist in monitoring FX exposure to meet policy objectives ... Serve as a reliable Treasury partner to Accounting, Tax, FP&A, AP, Payroll, and other stakeholders ...
Technical Program Manager, Billing
San Francisco, CA · On-site
$152K - $196K/yr
Run payments operations programs in partnership with finance and treasury, including currency and FX You may be a good fit if you * Have 6+ years of technical program management experience, with a ...
Technical Program Manager, Billing
San Francisco, CA · On-site
$152K - $196K/yr
Run payments operations programs in partnership with finance and treasury, including currency and FX You may be a good fit if you * Have 6+ years of technical program management experience, with a ...
Treasury Manager
San Francisco, CA · On-site
$143K - $196K/yr
Lead or co-lead the global FX exposure identification and analysis. * Own Treasury SOX controls, reporting, and policy compliance, ensuring a robust framework of financial and operational controls.
Treasury Manager
San Francisco, CA · On-site
$143K - $196K/yr
Lead or co-lead the global FX exposure identification and analysis. * Own Treasury SOX controls, reporting, and policy compliance, ensuring a robust framework of financial and operational controls.
Treasury Analyst
Wayne, NJ · On-site
... FX back office activities per company FX Hedging Policy Assist in the implementation of a global treasury workstation, as well as conversion to SAP Execute debt borrowings, rollovers, and principal ...
Treasury Analyst
Wayne, NJ · On-site
... FX back office activities per company FX Hedging Policy Assist in the implementation of a global treasury workstation, as well as conversion to SAP Execute debt borrowings, rollovers, and principal ...
International Treasury Services (ITS) plays a critical role as the single point of expertise for ... Navigate event-driven financial disruption including FX volatility, local liquidity crises ...
International Treasury Services (ITS) plays a critical role as the single point of expertise for ... Navigate event-driven financial disruption including FX volatility, local liquidity crises ...
Treasury Associate
New York, NY · On-site
$105/hr
New York, NY Duration: 7 months Group Description The Corporate Treasury team is responsible for client's corporate cash management, capital management, as well as liquidity and FX risk management ...
Quick apply
Treasury Associate
New York, NY · On-site
$105/hr
New York, NY Duration: 7 months Group Description The Corporate Treasury team is responsible for client's corporate cash management, capital management, as well as liquidity and FX risk management ...
Global Treasury Manager
Alpharetta, GA · On-site
$125K - $140K/yr
... manage FX transaction and translational exposures, including trade execution, settlements, and counterparty exposure Lead treasury workstreams for acquisitions and divestitures, including cash ...
Global Treasury Manager
Alpharetta, GA · On-site
$125K - $140K/yr
... manage FX transaction and translational exposures, including trade execution, settlements, and counterparty exposure Lead treasury workstreams for acquisitions and divestitures, including cash ...
International Treasury Services (ITS) plays a critical role as the single point of expertise for ... Navigate event-driven financial disruption including FX volatility, local liquidity crises ...
International Treasury Services (ITS) plays a critical role as the single point of expertise for ... Navigate event-driven financial disruption including FX volatility, local liquidity crises ...
Manager, Corporate Treasury
Purchase, NY · On-site
The foreign exchange team plays an integral role in managing FX risk associated with Mastercard ... treasury and foreign exchange initiatives. • Analyze initiatives across the globe to determine ...
Manager, Corporate Treasury
Purchase, NY · On-site
The foreign exchange team plays an integral role in managing FX risk associated with Mastercard ... treasury and foreign exchange initiatives. • Analyze initiatives across the globe to determine ...
Title and Summary Manager, Corporate Treasury Corporate Treasury is hiring a manager for our ... The foreign exchange team plays an integral role in managing FX risk associated with Mastercard ...
Title and Summary Manager, Corporate Treasury Corporate Treasury is hiring a manager for our ... The foreign exchange team plays an integral role in managing FX risk associated with Mastercard ...
Treasury Expert - Fully Remote | Upto $100/hr
San Francisco, CA · On-site
$166 - $195/hr
Corporate Treasury Expert Type: Contract Compensation: $85-$100/hour Location: Remote Role ... Identify and net FX exposures , analyze fixed and floating rate risk, and design hedges against a ...
Treasury Expert - Fully Remote | Upto $100/hr
San Francisco, CA · On-site
$166 - $195/hr
Corporate Treasury Expert Type: Contract Compensation: $85-$100/hour Location: Remote Role ... Identify and net FX exposures , analyze fixed and floating rate risk, and design hedges against a ...
Director, Credit Risk
San Francisco, CA · On-site
$230 - $350/hr
We work at the intersection of credit, FX, and counterparty risk, partnering closely with Product, Sales, Operations, Treasury, Finance, Engineering, Compliance, and Legal to enable commercial growth ...
Director, Credit Risk
San Francisco, CA · On-site
$230 - $350/hr
We work at the intersection of credit, FX, and counterparty risk, partnering closely with Product, Sales, Operations, Treasury, Finance, Engineering, Compliance, and Legal to enable commercial growth ...
Treasury Analyst Front Office
Canton, MA · Hybrid
$60K - $75K/yr
Process client fund investments, wire transactions, and FX trades accurately and in compliance with policies. * Reconcile transactions and maintain accurate treasury records and reporting. * Analyze ...
Treasury Analyst Front Office
Canton, MA · Hybrid
$60K - $75K/yr
Process client fund investments, wire transactions, and FX trades accurately and in compliance with policies. * Reconcile transactions and maintain accurate treasury records and reporting. * Analyze ...
fx treasury information
See salary details
$34.5K - $43.2K
4% of jobs
$43.2K - $51.9K
8% of jobs
$59.2K is the 25th percentile. Wages below this are outliers.
$51.9K - $60.5K
15% of jobs
$60.5K - $69.2K
15% of jobs
The median wage is $74.2K / yr.
$69.2K - $77.9K
14% of jobs
$77.9K - $86.6K
15% of jobs
$89.7K is the 75th percentile. Wages above this are outliers.
$86.6K - $95.3K
13% of jobs
$95.3K - $104K
8% of jobs
$104K - $112.6K
6% of jobs
$112.6K - $121.3K
2% of jobs
$121.3K - $130K
0% of jobs
$34.5K
$78.8K
$130K
How much do fx treasury jobs pay per year?
What does an FX Treasury professional do?
What skills and qualifications are needed to thrive as an FX Treasury professional?
How does an FX Treasury professional typically collaborate with other departments within a financial institution?
What is the difference between Fx Treasury vs FX Analyst?
| Aspect | Fx Treasury | FX Analyst |
|---|---|---|
| Primary Role | Managing currency risk, liquidity, and funding strategies for the organization | Analyzing currency markets, providing forecasts, and supporting trading decisions |
| Required Credentials | Typically requires finance or treasury certifications (e.g., CFA, CTP) | Often requires finance, economics degrees, and similar certifications |
| Work Environment | Corporate treasury departments, financial institutions | Banking, investment firms, financial services companies |
| Employer & Industry Usage | Used by corporations and banks to manage currency exposure | Used by banks, hedge funds, and research firms for market analysis |
Fx Treasury focuses on managing a company's currency risk and liquidity, while FX Analysts analyze market trends to inform trading strategies. Both roles require similar credentials and often work within financial institutions, but their core responsibilities differ in scope and focus.
What are the most commonly searched types of Fx Treasury jobs?
The most popular types of Fx Treasury jobs are:
What states have the most Fx Treasury jobs?
States with the most job openings for Fx Treasury jobs include:
What job categories do people searching Fx Treasury jobs look for?
The top searched job categories for Fx Treasury jobs are:

Job description
Wise is a global technology company, building the best way to move and manage the world's money.
Min fees. Max ease. Full speed.
Whether people and businesses are sending money to another country, spending abroad, or making and receiving international payments, Wise is on a mission to make their lives easier and save them money.
As part of our team, you will be helping us create an entirely new network for the world's money.
For everyone, everywhere.
More about our mission and what we offer.
We're looking for an experienced Treasury Manager to join our Treasury team in Austin. This role is a unique growth opportunity in our Treasury within our newly created Markets team, with the ability to have a direct impact on Wise's mission Money without Borders.
Your mission:
Wise has already pioneered new ways for people to transfer money across borders and currencies. Our customers can also manage their hard-earned money with the world's first platform to offer true multi-currency banking. Your mission is to help us manage our risks in real time, and help us keep lowering our prices
Our Markets team manages the risk on our GBP 120bn+ FX book and our GBP 21bn of customer assets.
Here's how you'll be contributing to the Treasury team:
- Using your risk management and execution experience, you will help us manage group wide FX risks and manage liquidity trades to ensure we have money where our customers need it.
- As part of a Global Team, manage the day-to-day FX hedging activities during the US timezone. This will include managing our hedging strategies across FX products (Spot, Forwards & NDFs in the US timezone).
- Working closely with Treasury Data Analysts & Scientists to assess risk over upcoming market events, product launches and regular assessment of existing and new trading strategies. Work on automating risk management and funding strategies once proven.
- Working closely with Treasury Liquidity Operations & Regional Banking to optimize funding and reduce Treasury costs with our partners in US time zone.
- Work alongside the wider Treasury Markets team to manage customers funds balances in the US timezone and invest excess funds in short term/Money Market instruments to optimize yield.
- Be a point of contact and help manage relationships with our panel of international banks and counterparties across the US and LatAM regions. Ensuring we are constantly negotiating on price, and optimising for both price and broader relationship whenever we trade.
- Take part in initiatives aimed at making upgrades to our dealing strategy, policies, controls and systems with the risk teams within 1st and 2nd lines to help build a more robust control framework.
- Supporting NorthAm and LatAm strategic initiatives as a Treasury representative as we expand into new markets and products in those regions.
This role will give you the opportunity to:
- Choose your path to impact - we believe people are most empowered when they can act autonomously. So rather than telling you what to do, you'll work with your team to create a vision of your own. Of course, you can always gather feedback from smart, curious people across Wise but you'll have the freedom to make your own calls.
- Be part of a rapidly growing team, in an expanding business, giving opportunities to expand the role as you grow.
- Be flexible in how you work, we understand everyone needs a little something different so we'll do our best to make it happen.
- You'll have the opportunity to travel and work with our teams globally.
- Grow as a leader - with our rapid growth, this role will need to be a source of markets expertise across our entire business and will be leading a small team.
8+ years FX or short term interest rates trading experience across a variety of markets with a focus on Latam/Emerging Market currencies.
2+ years of experience managing a team as this role offers managerial responsibilities in charge of a small growing risk management team.
Using your risk management and execution experience, you will help us manage group wide FX risks and manage liquidity trades to ensure we have money where our customers need it.
As part of a Global Team, manage the day-to-day FX Trading hedging activities during the US timezone. This will include managing our hedging strategies across FX products Spot, Forwards & NDFs in the US timezone.
Working closely with Treasury Data Analysts & Scientists to assess risk over upcoming market events, product launches and regular assessment of existing and new trading strategies. Work on automating risk management and funding strategies once proven.
Working closely with Treasury Liquidity Operations & Regional Banking to optimise funding and reduce Treasury costs with our partners in US time zone.
Work alongside the wider Treasury Markets team to manage customers funds balances in the US timezone and invest excess funds in short term/Money Market instruments to optimise yield.
Be a point of contact and help manage relationships with our panel of international banks and counterparties across the US and LatAM regions. Ensuring we are constantly negotiating on price, and optimising for both price and broader relationship whenever we trade.
Supporting NorthAm and LatAm strategic initiatives as a Treasury representative as we expand into new markets and products in those regions.
Build and deliver analysis and reporting on dealing activities with monthly improvements as the role evolves.
Nice to haves:
Global experience especially in LATAM countries.
Managing interest rate risk and or short term investments.
For everyone, everywhere. We're people building money without borders - without judgement or prejudice, too. We believe teams are strongest when they are diverse, equitable and inclusive.
We're proud to have a truly international team, and we celebrate our differences.
Inclusive teams help us live our values and make sure every Wiser feels respected, empowered to contribute towards our mission and able to progress in their careers.
If you want to find out more about what it's like to work at Wise visit Wise.Jobs.
Keep up to date with life at Wise by following us on LinkedIn and Instagram.