Sr. Manager Treasury Operations - GSC - US
US0013 Sysco Central Texas (Division of USA I)(1 month ago)
About this role
Responsible for overseeing the organization’s global cash operations, foreign exchange exposure, and financial risk mitigation strategies. The role manages banking relationships, implements hedging programs, and leverages treasury systems and analytics to support strategic decision-making and capital efficiency across the enterprise.
Required Skills
- FX Transactions
- Cash Management
- Liquidity Forecasting
- Hedging Strategies
- Treasury Systems
- Financial Modeling
- Excel
- Banking Relationships
- Reconciliations
- Risk Mitigation
Qualifications
- Bachelor's Degree in Finance or Accounting
- CTP
- CPA
- CFA
About US0013 Sysco Central Texas (Division of USA I)
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