North America Treasury & Fx Manager

Dematic Inc

Grand Rapids, MI, United States
Base: $95,000 - $138,000; bonus/equity: not specif...
Not specified (assumed to be hybrid)
Regional cash management activities
Foreign exchange hedging strategies
Corporate spend and expense reimbursement
Dematic Inc. is seeking a North America Treasury & Foreign Exchange Manager to oversee its regional treasury operations, including cash management, foreign exchange risk mitigation, and insurance strategy. The ideal candidate will have significant experience in corporate treasury and finance, alongside strong leadership skills

Job Summary

  • This role leads regional treasury operations managing over $4 billion in cash flow and $100 million in annual FX exposure.
  • The position requires developing robust hedging strategies to mitigate foreign currency risks and ensuring regulatory compliance across all treasury activities.
  • Candidates will lead a high-performing team while partnering closely with FP&A, banking partners, and senior leadership to drive strategic financial objectives.

Matching Summary

Match Score: 85

Dematic Inc. is seeking a North America Treasury & Foreign Exchange Manager to oversee its regional treasury operations, including cash management, foreign exchange risk mitigation, and insurance strategy. The ideal candidate will have significant experience in corporate treasury and finance, alongside strong leadership skills.

Salary

Base: $95,000 - $138,000; Bonus/Equity: Not specified; Benefits: Competitive Compensation and Benefits

Skills & Requirements

Must-have

  • Regional cash management activities
  • Foreign exchange hedging strategies
  • Corporate spend and expense reimbursement
  • Insurance policy development and negotiation
  • Team leadership and mentorship

Nice-to-have

  • Strong analytical and strategic thinking skills
  • Excellent communication and presentation abilities
  • Proactive hands-on approach to problem solving
  • Experience with cross-functional collaboration
  • Ability to develop financial models for forecasting

Key Requirements

  • Bachelor's degree in accounting or finance
  • Minimum 8 years of corporate treasury experience
  • At least 2 years in a leadership role

Work Rights

Not specified

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