Relomote
Remote JobsRelocation Jobs
Add companySaved
Relomote

Relomote is a job board for remote, hybrid, and relocation jobs — every listing AI-classified for the countries it actually hires from, or the visa and relocation support it offers.

LinkedInCrunchbase

Remote jobs by category

  • Remote Engineering & Development jobs
  • Remote Customer Support jobs
  • Remote Design jobs
  • Remote Marketing jobs
  • Remote Sales jobs
  • Remote Product jobs
  • Remote Data & Analytics jobs
  • Remote People & Talent jobs
  • Remote Writing & Content Creation jobs
  • Remote Finance jobs
  • Remote Legal & Compliance jobs
  • Remote Operations & Admin jobs
  • Remote Data Entry jobs
  • Remote Virtual Assistant jobs
  • Remote Education/Training jobs
  • Remote Healthcare/Clinical jobs
  • Remote Other jobs

Remote jobs by location

  • Work from anywhere jobs
  • Remote jobs in Africa
  • Remote jobs in Asia
  • Remote jobs in Europe
  • Remote jobs in Latin America
  • Remote jobs in Middle East
  • Remote jobs in North America
  • Remote jobs in Oceania
  • All remote jobs →

Relocation & visa sponsorship

  • Visa sponsorship jobs
  • Relocation package jobs
  • Relocate to Europe
  • Relocate to Germany
  • Relocate to Netherlands
  • Relocate to Spain
  • Relocate to Portugal
  • Relocate to Greece
  • Relocate to United Kingdom
  • Relocate to Canada
  • Relocate to Australia
  • Relocate to Sweden
  • Relocate to Switzerland
  • Relocate to Japan
  • Relocate to United Arab Emirates
  • All relocation jobs →

© 2026 RelomoteAboutPrivacyTerms

Contact [email protected] · Built by Mahmoud

Relomote
Remote JobsRelocation Jobs
Add companySaved
WA

Corporate Treasury Expert

Weekday AI
Posted 2 hours ago
🇺🇸United States🏠Remote📁Finance
Is this job info correct?

This role is for one of our clients Compensation: $2K per task We are seeking experienced corporate treasury professionals to contribute to a high-quality library of real-world treasury work products. You will complete self-contained treasury exercises using realistic mock materials such as bank statements, exposure schedules, credit agreements, and working capital data, and produce professional deliverables evaluated against defined quality standards. This opportunity is designed for professionals with hands-on experience managing corporate liquidity, cash forecasting, foreign exchange exposure, hedging, banking relationships, and treasury risk. Key Responsibilities Build rolling 13-week direct cash flow forecasts , including receipts, disbursements, liquidity requirements, and variance analysis. Identify, quantify, and net foreign exchange exposures across currencies and assess appropriate hedging strategies. Analyze fixed- and floating-rate interest exposure and recommend hedging approaches consistent with corporate treasury policies. Prepare hedge designation documentation and perform periodic hedge effectiveness testing. Analyze working capital metrics, including: DSO DPO DIO Cash conversion cycle Evaluate bank fees against services received and identify opportunities for optimization. Analyze trapped cash, repatriation alternatives, and cross-border liquidity considerations. Forecast leverage, liquidity, and covenant headroom under different scenarios. Draft, review, or update treasury policies covering liquidity management, FX risk, counterparties, investments, and related controls. Translate financial and operational data into clear treasury recommendations and decision-ready deliverables. Ideal Qualifications 4+ years of professional experience in a corporate treasury role within an operating company. Hands-on experience with one or more of the following: Cash and liquidity management Cash forecasting FX exposure management Hedging Bank relationship management Debt and covenant management Treasury risk management Strong understanding of corporate treasury processes, controls, policies, and risk management. Ability to independently analyze financial information and produce accurate, practical recommendations. Strong attention to detail and excellent written communication skills. Comfortable working with structured datasets, financial models, and treasury documentation. Preferred Qualifications Certified Treasury Professional ( CTP ) certification. ACT, AMCT, or MCT qualification. Experience working with treasury management systems (TMS). Experience managing multi-currency operations, international liquidity, or complex banking structures. Familiarity with hedge accounting and treasury policy frameworks. Assessment Selected candidates may be asked to complete exercises such as: Build a 13-week cash forecast using mock bank and receivables data. Analyze FX exposures, perform exposure netting, and recommend an appropriate hedge strategy. Prepare a covenant and leverage forecast showing available headroom under different scenarios. Important Role Focus This opportunity is focused specifically on corporate treasury within operating companies . Experience limited to bank asset-liability management, funds transfer pricing, or regulatory liquidity reporting is outside the scope of this role. Engagement Details Fully remote Flexible project-based engagement Self-contained corporate treasury exercises Deliverables evaluated against structured quality criteria Opportunities may be extended based on project requirements and performance Equal Opportunity We consider all qualified applicants without regard to legally protected characteristics and provide reasonable accommodations upon request. Contract and Payment Terms You will be engaged as an independent contractor. Work can be completed remotely on a flexible schedule. Projects may be extended, shortened, or concluded early depending on project requirements and performance. Work will not require access to confidential or proprietary information belonging to any employer, client, or institution. Payments are made weekly based on services rendered through supported payment platforms. Candidates requiring H-1B or STEM OPT sponsorship are not eligible for this opportunity at this time.

Similar jobs

Similar jobs

Serrala logo

Senior Expert, Serrala Treasury Services (SAP Treasury)

Serrala

🇺🇸United StatesMay 28, 2026, 3:13 AM UTC
BakerAvenue logo

Investment Reporting Manager

BakerAvenue

🇺🇸United States29 minutes ago
Westside Justice Center logo

Staff Accountant II

Westside Justice Center

🇺🇸United States53 minutes ago
The Wonderful Company logo

Accounting Analyst

The Wonderful Company

🇺🇸United States56 minutes ago
Wabtec logo

Accounting Manager

Wabtec

🇺🇸United States1 hour ago
Continental logo

Accounting/Controlling Analyst - R&D

Continental

🇺🇸United States2 hours ago