Key responsibilities include:Oversee international cash positioning, liquidity planning, and global cash forecastingDevelop and maintain efficient global cash structures, including intercompany funding and poolingManage foreign currency exposure and execute hedging strategies in line with company policyPartner closely with Accounting on hedge documentation and complianceOwn treasury operations related to intercompany loans, settlements, and documentationServe as the business lead for the Treasury Management System (TMS), driving requirements, prioritization, and adoptionSupport acquisition and divestiture activity from a treasury and liquidity perspectiveMaintain strong relationships with global banking partners and external service providersEnsure treasury activities comply with internal controls, SOX requirements, and regulatory expectations. Prior experience using a Treasury Management System requiredBackground in a large, multinational corporate environmentStrong analytical skills with advanced Excel capabilityEffective communicator able to partner across Finance, Tax, Legal, and AccountingPeople management experience is a plus, depending on level7-12+ years of treasury experience, with preference for more experienced, leadership backgroundsStrong international focus required, including FX and global liquidity required.