Director, Fx And Liquidity Risk

Sysco

Houston, TX, USA
Hybrid
Global fx hedging program
Liquidity risk frameworks
Treasury management system strategy
The Director, Global FX & Liquidity Risk leads the organization’s global foreign exchange and liquidity risk strategy, ensuring effective management of currency exposure, cash positioning, and capital efficiency across the enterprise

Job Summary

  • The Director, Global FX & Liquidity Risk leads the organization’s global foreign exchange and liquidity risk strategy, ensuring effective management of currency exposure, cash positioning, and capital efficiency across the enterprise.
  • This role oversees treasury infrastructure, banking partnerships, and hedging programs to mitigate financial risk and optimize global liquidity.
  • Sysco is the global leader in foodservice distribution, offering colleagues the opportunity to grow personally and professionally.

Matching Summary

The Director, Global FX & Liquidity Risk leads the organization’s global foreign exchange and liquidity risk strategy, ensuring effective management of currency exposure, cash positioning, and capital efficiency across the enterprise.

Skills & Requirements

Must-have

  • Global FX hedging program
  • Liquidity risk frameworks
  • Treasury Management System strategy
  • International cash management
  • FX exposure analysis
  • Financial risk mitigation practices

Nice-to-have

  • Strategic decision-making
  • Enterprise financial resilience
  • Cross-functional collaboration skills
  • Highly motivated and eager to learn

Key Requirements

  • 10+ years general experience
  • 12-15 years preferred experience
  • Bachelor's degree in Finance, Accounting or related field
  • CTP, CPA, CFA preferred

Work Rights

Currently authorized to work in the United States

Tailored Resume

Cover Letter