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Global Treasury Director: Cash, FX & Liquidity Strategy (New York)

Full-time

Stagwell

Stagwell is seeking a senior Treasury professional in New York to lead cash management, intercompany funding, FX hedging, and treasury operations for a multi‑entity environment. The role emphasizes data‑driven decision making, cross‑functional collaboration, and strategic liquidity management.

You will optimize treasury systems, develop forecasting processes, and present insights to finance leadership, with a comprehensive benefits package and a focus on integrity and confidentiality.

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Vacancy posted more than 2 months ago

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