The Senior manager treasury will lead treasury operations in Israel, ensuring effective cash management, liquidity planning, and financial risk mitigation. This role will partner with regional finance teams, banks, and corporate stakeholders to support global treasury strategy and ensure compliance with local regulations and global policies.
How you’ll spend your day• Manage relationship with bank representatives on Israel treasury matters.
• Manage treasury operation such as: FX, monitor and control cash management & liquidity, issuing bank guarantees/Letter of credits management, etc.
• Lead working capital optimization initiatives for the local market, including setting and tracking KPIs (DSO, DPO, DIO), and driving implementation of best practices in coordination with business units, regional treasury, and corporate.
• Collaborate with tax, legal, and accounting teams on cross-border transactions.
• Lead or support treasury-related system implementations and process improvements.
• Implement and ensure compliance with all relevant Treasury Policies and guidelines.
• Support treasury aspects of M&A, divestitures, and capital structure planning.
• Quarterly support SOX team with their review & Quarterly support PWC requests.
• Optimize intercompany funding structures, including short- and long-term financing solutions.
• Bachelor’s degree in Finance, Accounting, Economics or related field; MBA or CTP preferred.
• 3+ years of progressive experience in corporate treasury or finance
• Strong understanding of international banking, FX, and cash management practices.
• Experience with treasury management systems (e.g., Kyriba, SAP, Quantum).
• Excellent analytical, communication, and stakeholder engagement skills.
• Ability to work across time zones and cultures with a global mindset.
• Multilingual capabilities are a plus.
Sr. Director, Corporate Finance & Cash Management
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