for all employees that respects their individual strengths, views, and experiences. We believe that our differences enable us to be a better team – one that makes better decisions, drives innovation and delivers better business results.
Manager, Corporate Treasury – PM
Overview:
The Corporate Treasury team performs FX treasury activities for Mastercard, including capital planning analysis, rating agency relationships, foreign exchange risk management, foreign exchange spot and interbank settlement trading, as well as cash management/ positioning and intercompany funding.
Additionally, the team is responsible for the treasury controllership function ensuring accurate public disclosures of treasury activities. The team centrally supports all business units, providing treasury services as needed. It also plays a critical part in broader corporate finance and business initiatives by providing cross-functional support and execution for special projects (such as mergers/acquisitions due diligence and integration, global tax planning initiatives, counterparty credit risk mitigation, etc.)
The Role:
We are currently hiring a Manager to manage the Treasury team in Dubai with a focus on driving and supporting the FX trading operations, origination forecasting, liquidity management and front office treasury solutions for Mastercard’s Cross Border Services (XBS) business.
The responsibilities for this role include:
1. Managing the FX team based out of Dubai that is responsible for establishing the daily trading & funding requirements, FX trade execution and OI pricing for the region.
2. Coordinating the daily forecasting and positioning of local currency liquidity to ensure smooth settlement of FX trades and continuity of customer payouts.
3. Providing inputs to the Business Development and Product teams on pricing across send/receive currencies managed out of Dubai.
4. Drive the growth for the banking and trading relationships in the region and ensure best execution and optimization of buy rates.
5. Implementing FX guidelines and procedures for Treasury processes ensuring they are aligned with the global FX and Risk management framework.
6. Supporting the ongoing Treasury projects by drafting/reviewing relevant requirements for Treasury processes for the region aiming at increased efficiency, business scalability and reduced operational risks.
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