The FX Manager is a key member of Visa’s Global FX Operations team, which operates under a shared‑services model. The primary responsibility of this role is to support FX revenue forecasting and the global FX cashflow hedging process, while being fully cross‑trained across daily FX operations and back‑office processes to ensure a resilient, flexible, and scalable global support model. The role requires strong analytical skills with advanced financial modeling capabilities, including experience working with complex, multi‑driver models and large datasets, a strong sense of operational ownership and the ability to collaborate effectively across global Treasury, Finance, and Technology teams. The ideal candidate should have demonstrated ability to execute daily operational processes with precision and consistency. Experience with hedge accounting processes, including exposure to Reval, is also a plus.
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Job Type
Full-time
Career Level
Mid Level