At GoDaddy the future of work looks different for each team. Some teams work in the office full-time, others have a hybrid arrangement (they work remotely some days and in the office some days) and some work entirely remotely. This is a remote position, so you’ll be working remotely from your home. You may occasionally visit a GoDaddy office to meet with your team for events or meetings. This role will require commuting into NYC regularly (1-2 times a month). This position is not eligible to be performed in Alaska, Mississippi, North Dakota, or the Virgin Islands. GoDaddy is not currently considering candidates for this role in California or Seattle. Join our team Corporate Treasury is seeking an experienced FX Manager to join its Foreign Exchange team. This role is responsible for managing FX risk associated with GoDaddy’s bookings, balance sheet exposures, and global settlements. This is a high‑visibility position that partners closely with Corporate Finance, Accounting, FP&A, Legal, Tax, and other cross‑functional teams to build and execute hedging strategies, support critical initiatives, and improve treasury processes and analytics. What you'll get to do... Derivatives, Hedging Strategy & Hedge Accounting Manage GoDaddy’s global FX and derivatives portfolio, including FX forwards, FX swaps, cross‑currency swaps, interest rate swaps, NDFs, and options. Design and execute hedging strategies to mitigate FX, interest rate, and net investment risk. Analyze global initiatives and transactions to assess FX impacts and recommend appropriate risk‑management solutions. Execute FX and derivative trades and manage relationships with trading counterparties and external vendors. Prepare and review derivative valuations (fair value, mark‑to‑market, scenario analysis) using FIS Quantum and external tools. Maintain hedge documentation and support hedge effectiveness testing under: Cash Flow Hedges (CFH) Fair Value Hedges (FVH) Net Investment Hedges (NIH) Coordinate with Accounting on journal entries, valuation support, and compliance with ASC 815. Review and support SEC disclosures related to foreign currency derivatives. Support Sarbanes‑Oxley (SOX) controls and internal and external audits. Governance, Policies, & Board/Audit Committee Support Assist with drafting, updating, and governing Treasury policies covering derivatives, debt, share repurchases, liquidity, and intercompany funding. Support preparation of materials for the Board of Directors and Audit Committee, including derivative exposures, capital structure analysis, leverage metrics, and repurchase activity. Ensure consistency of data, assumptions, and messaging across Treasury, FP&A, Accounting, Legal, Tax, and Investor Relations. Analytics, Reporting & Process Optimization Own recurring weekly, monthly, and quarterly reporting related to hedge performance, FX exposures, and market intelligence. Enhance and automate workflows within FIS Quantum and related platforms to improve accuracy, controls, and efficiency. Perform ad‑hoc scenario analysis related to refinancing, incremental leverage capacity, stress testing, and valuation‑driven capital markets decisions. Leverage AI and advanced analytics to streamline data gathering, automate recurring reporting, improve forecasting accuracy, and elevate decision‑making. Find opportunities to reduce manual processes across derivatives, valuations, and reporting through automation and data integration.
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Job Type
Full-time
Career Level
Mid Level
Number of Employees
1,001-5,000 employees