International Treasury Lead

The Goodyear Tire & Rubber CompanyAkron, OH
Onsite

About The Position

International Treasury Lead is responsible for executing foreign exchange trades, managing monthly treasury reporting and controlling processes, and supporting global cash flow and financial analysis activities. This role acts as a financial consultant to the business, collaborating closely with global treasury, finance teams, leadership, and external stakeholders such as banks and legal entities. The position requires strong analytical, financial modeling, and problem-solving skills, along with the ability to multitask and work effectively across diverse global teams. With a focus on process improvement and operational efficiency, the role also contributes to strategic decision-making through reporting, analysis, and insights for finance leadership. Why This Role Matters Drives global financial risk management and liquidity optimization by executing foreign exchange trades, ensuring accurate cash settlements, and supporting the company’s exposure to international currency movements. Provides critical financial insights to leadership through monthly reporting, cash flow analysis, and ad hoc analysis that inform strategic decisions across international markets. Acts as a key advisor to business and finance leaders worldwide by partnering across treasury, regional teams, and executives while aligning international treasury activities with broader business objectives. Improves operational efficiency and financial controls by identifying process enhancements in trading and reporting, strengthening accuracy, compliance, and scalability of global treasury operations

Requirements

  • Bachelor’s degree in Accounting, Finance, Business, or a related field, with advanced degrees or professional finance/accounting certifications viewed favorably
  • 4+ years of experience in finance, accounting, treasury, or a closely related field

Nice To Haves

  • Experience with foreign exchange markets, financial markets, and treasury operations, including familiarity with SAP systems
  • Strong analytical, financial modeling, and problem-solving capabilities developed through hands-on finance experience.

Responsibilities

  • Execute and manage foreign exchange trades, ensuring accuracy and smooth cash settlements
  • Prepare and deliver monthly treasury reporting, including FX rates, netting estimates, and cash flow analysis
  • Provide financial analysis and insights to support leadership decision-making and strategic planning
  • Act as a key partner to global treasury, finance teams, and business leaders on international financial matters
  • Collaborate with internal and external stakeholders (e.g., banks, legal entities) to support treasury operations
  • Identify and implement process improvements to enhance efficiency, accuracy, and controls in treasury activities
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