Mercor is seeking a Corporate Treasury Expert for a remote contract engagement. You will build rolling 13-week cash forecasts, manage FX exposure, and design hedges in line with the company policy. You will also analyze working capital and draft treasury policies to improve liquidity and cash management.
The role requires hands-on cash forecasting, hedging, and liquidity management experience, with a focus on optimizing treasury operations for a quick-moving, innovative organization.
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