Jobs and Careers
VI

Treasury Manager, Global FX Operations Team

Visa
Foster City, United Statesfull_timeVerifiedPosted 22 Jan 2026
💰 $206,700/yr($129,200/yr$206,700/yr)

About the role

Company Description

Visa is a world leader in payments technology, facilitating transactions between consumers, merchants, financial institutions and government entities across more than 200 countries and territories, dedicated to uplifting everyone, everywhere by being the best way to pay and be paid.

At Visa, you'll have the opportunity to create impact at scale — tackling meaningful challenges, growing your skills and seeing your contributions impact lives around the world. Join Visa and do work that matters — to you, to your community, and to the world.

Progress starts with you.

Job Description

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.

Key Responsibilities

FX Revenue Forecasting & Reporting Analytics:

  • Develop, automate, and maintain global FX revenue forecasting models utilizing advanced analytics and AI tools to support Visa’s cross border multi-currency business globally.
  • Enhance revenue allocation and attribution models to deliver deeper insights and more robust variance analysis.
  • Design, validate, and document model methodologies, assumptions, data definitions, formulas, and operational procedures.
  • Ensure model performance integrity through continuous improvement and back‑testing.

Global FX Cashflow Hedging Support:

  • Support the FX cashflow hedging process and ensure alignment with hedge accounting and risk management standards.
  • Partner with Finance teams to refine exposure analytics, improve forecasting drivers, and strengthen model robustness.
  • Support enhancements to Reval hedge accounting workflows, reporting, and automation.

Global FX Operations & Back Office Support:

  • Support the global FX rate setting process, exposure management, and true-up reconciliation.
  • Assist in onboarding and maintaining global FX counterparty relationships, including fulfilling regulatory and documentation requirements such as ISDA and KYC, and supporting the collateral management process - including monitoring mark‑to‑market exposure and facilitating the exchange of margin with FX counterparties in accordance with ISDA Credit Support Annex requirements.
  • Support FX trade confirmation and settlement processes, collaborating with the Treasury Settlement team and external banks across global time zones.

AI & Process Innovation:

  • Serve as the AI evangelist for the global FX operations team - identifying and evaluating digital tools that enhance forecasting, operational workflows, and reporting.
  • Partner with Treasury and Technology colleagues to implement AI‑enabled solutions that drive improvements in forecasting accuracy, operational efficiency, and reporting capabilities.

This is a hybrid position. Expectation of days in office will be confirmed by your hiring manager.

Qualifications

Basic Qualifications:

  • 5 or more years of relevant work experience with a Bachelors Degree or at least 2 years of work experience with an Advanced degree (e.g. Masters, MBA, JD, MD) or 0 years of work experience with a PhD

Preferred Qualifications:

  • 6 or more years of work experience with a Bachelors Degree or 4 or more years of relevant experience with an Advanced Degree (e.g. Masters, MBA, JD, MD) or up to 3 years of relevant experience with a PhD
  • Bachelor’s degree in Finance, Economics, Mathematics, or related discipline. Advanced degree or professional certification (e.g., CFA, ACT) preferred.
  • 6+ years of experience in corporate treasury, FX operations, or financial analytics, ideally in payments or fintech industry.
  • Strong quantitative and analytical skills, with experience in advanced financial modeling, forecasting, and variance analysis.
  • Advanced Excel (including VBA) and SQL skills. Experience with Python or BI tools is a plus.
  • Experience supporting FX cashflow h

Apply for this role

Generate a tailored application kit with a matched cover letter, interview prep, and CV highlights — in under 60 seconds.

Apply Now →Generate Application Kit

Free account required — sign up in 30s

Company

Visa

View company profile →