The Corporate Treasury department manages the Company's global liquidity and financial risk, ensuring Disney has the flexibility to invest, innovate, and grow. Treasury oversees key relationships with banks and rating agencies, manages foreign exchange (FX) and interest rate hedging programs, drives financing and capital-raising activities, leads global cash management activity, leads the enterprise consumer payment strategy, and directs the investment of retirement assets that support employees across the company. The Treasury Operations team supports Corporate Treasury by acting as an independent point of control for trade legitimacy and the preparation of payments for settlement for all Treasury hedging, debt-servicing, investment/liquidity activities and collateral management activities. This full-time role reports to the Senior Manager of Treasury Operations and is responsible for providing operational and settlement support activities — trade confirmations, settlements, cash projections, and documentation — across Treasury’s trading portfolio and activities. The role also supports compliance and risk monitoring, including SOX testing and policy adherence, counterparty exposure monitoring, as well as daily collateral exchanges with banking counterparties to ensure timely, accurate settlement and strong operational controls. Sitting at the center of all Treasury activities, this team is uniquely positioned to add value across the department through close collaboration with colleagues across Treasury, the company and our trading partners.
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Job Type
Full-time
Career Level
Senior