We are seeking a corporate finance professional with deep experience and flexibility to support a broad range of corporate treasury activities, with a primary focus on financial forecasting and planning. This individual will be a key member of Visa's Global Corporate Treasury group, responsible for leading core functions such as balance sheet forecasting, net interest and income forecasting, cash flow forecasting, annual pension testing, capital planning, and liquidity forecasting. The role will also support the development of financial models and planning tools, collaborate across finance and treasury teams to align forecasts with strategic objectives, and contribute to regulatory and internal reporting processes. This position plays a critical role in ensuring Visa's financial readiness and operational efficiency through robust forecasting and planning practices. The position will report to the Senior Director, Global Treasury.