Company Description
Miratech helps visionaries change the world. We are a global IT services and consulting company that brings together enterprise and start-up innovation. Today, we support digital transformation for some of the world's largest enterprises. By partnering with both large and small players, we stay at the leading edge of technology, remain nimble even as a global leader, and create technology that helps our clients further enhance their business. We are a values-driven organization and our culture of Relentless Performance has enabled over 99% of Miratech's engagements to succeed by meeting or exceeding our scope, schedule, and/or budget objectives since our inception in 1989.
Miratech has coverage across 5 continents and operates in 25 countries around the world. Miratech retains nearly 1000 full-time professionals, and our annual growth rate exceeds 25%.
Job Description
We are seeking an experienced Treasury Director to lead and refine our treasury strategy across multiple jurisdictions. This pivotal role ensures effective liquidity management, currency risk mitigation, and tax planning while fostering strong relationships with financial institutions and key stakeholders.
If you are a results-driven leader with extensive expertise in global treasury, we invite you to contribute to shaping our organization's financial success.
Responsibilities
- Manage relationships with financial institutions, ensuring efficient, cost-effective treasury operations and compliance with contract terms.
- Design, implement, and enhance automated payment processes, ensuring integration with financial systems and alignment with operational efficiency goals.
- Develop and implement an investment strategy for excess liquidity including investment research, presentation, selection, and acquisition/divestment.
- Enhance foreign currency management, FX hedging and other foreign currency risk management strategies, including cash flow forecasting, and intercompany liquidity management.
- Design and implement a Company wide cash pooling strategy.
- Monitor and optimize bank account services and manage bank signing authorities.
- Collaborate with internal and external stakeholders to drive strategic initiatives and resolve complex challenges.
- Perform other duties as may be required consistent with the purpose of this role.
Qualifications
- University degree in Finance or Treasury related field.
- 6+ years of successful experience in treasury, tax management, PE, investment banking and/or other relevant experience.
- Strong experience in multi-entity, multi-currency operations within international business environments.
- Strong compliance mindset with sharp analytical skills, able to navigate complexity, ensure accountability, and collaborate across all levels.
- Excellent communication and negotiation skills, with fluency in English (written and verbal).
- Highly organized and adaptable, capable of working under pressure and prioritizing tasks in a dynamic, fast-paced environment.
We offer
- A strategic position with the opportunity to build a treasury organization with global responsibility.
- A chance to develop liquidity, investment, and foreign currency risk management capabilities.
- Work in a fully remote, growing and dynamic business environment.
- Join a truly international organization that embraces a culture of relentless performance, adaptability, and social responsibility.
Additional Information
Miratech is an equal opportunity employer and does not discriminate against any employee or applicant for employment on the basis of race, color, religion, sex, national origin, age, disability, veteran status, sexual orientation, gender identity, or any other protected status under applicable law.
All your information will be kept confidential according to EEO guidelines.