Head of Treasury

Multiplier Technologies

About The Position

Multiplier is seeking a strategic and hands-on Global Head of Treasury to lead and scale its treasury function across multiple geographies. As a key member of the Finance organization, this role will be responsible for driving global cash management, foreign exchange operations, liquidity planning, banking strategy, treasury governance, and financial risk management. The ideal candidate will bring deep expertise in treasury operations within a multi-country environment, along with strong ownership of FX exposure, banking relationships, cash optimization, and treasury structures that enable scale. This role requires someone who can operate both strategically and operationally, while partnering closely with senior leadership, finance teams, and external financial institutions.

Requirements

  • Bachelor’s degree in Commerce, Accounting, Taxation, Finance, or a related field.
  • 10–15 years of experience in treasury management, preferably within a corporate operating across multiple countries.
  • Strong experience in international cash management, liquidity planning, and foreign exchange risk management.
  • Proven experience in banking relationship management, treasury policy development, and treasury operations in a global or multi-country environment.
  • Strong understanding of international financial markets, forex, liquidity management, and treasury controls.
  • Demonstrated hands-on accountability for managing FX positions, cash investments, and/or bond or fixed income portfolios within a corporate treasury framework.
  • Strong understanding of treasury mandates including hedging, yield enhancement, and prudent deployment of surplus cash.
  • Excellent analytical, problem-solving, and decision-making skills with strong attention to detail.
  • Exceptional communication and interpersonal skills, with the ability to collaborate effectively across internal teams and external partners.

Nice To Haves

  • Professional qualification such as CA or CPA would be an added advantage.

Responsibilities

  • Lead and oversee the company’s global treasury operations, ensuring efficient cash management across entities, currencies, and jurisdictions.
  • Supervise daily cash positioning, liquidity planning, and intercompany fund flows to support business operations.
  • Develop and maintain robust short-term and long-term cash flow forecasts.
  • Drive working capital efficiency and optimize liquidity across the organization.
  • Own and manage relationships with global and regional banking partners and other financial institutions.
  • Negotiate banking services, pricing, and fee structures to ensure cost-effective treasury operations.
  • Evaluate and strengthen the company’s banking infrastructure, account structures, and treasury processes to support international growth.
  • Support the design or enhancement of treasury operating models, including centralized treasury, in-house bank, or regional treasury center structures where relevant.
  • Manage cross-currency conversions and foreign exchange exposure across multiple markets.
  • Lead FX risk management strategies, including hedging approaches, exposure monitoring, and execution oversight.
  • Oversee treasury-related investment strategies and evaluate returns on surplus or idle cash in line with company policies and risk appetite.
  • Support interest rate risk management and broader financial risk mitigation initiatives.
  • Bring strong hands-on experience in managing or being directly accountable for FX positions and/or fixed income or bond portfolio decisions within a defined treasury mandate.
  • Ensure compliance with treasury policies, internal controls, and applicable regulatory requirements.
  • Establish and maintain strong treasury governance frameworks across geographies.
  • Continuously improve treasury controls, reporting standards, and operating discipline.
  • Partner closely with Accounting, AP, AR, FP&A, Tax, and Controllership teams on reconciliations, reporting, and cash visibility.
  • Support month-end, quarter-end, and year-end treasury reporting requirements.
  • Provide leadership with insights and recommendations on liquidity, risk, capital allocation, and treasury strategy.
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