Must have some experience inbr br 1. Global treasury foreign exchange management experience in a multinational corporate setting with similar volumes and trading dynamicsbr 2. FX strategy implementation at global companiesbr 3. Acquiring and synthesizing complex datasets to support recommendations and conclusionsbr 4. Accounting processes and conceptsbr 5. Data manipulation and modeling skills, including Excel or SQL and a capacity to extract insights from databr 6. Treasury and fx risks and their mitigationbr 7. Treasury systems

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