ChildFund India Group
ChildFund office:
International Office
Manager/Supervisor
title : Assistant Treasurer Position type:
Full-time regular
Work environment:
Hybrid Position title:
Analyst, Treasury
Location : Richmond, VA
ChildFund office:
International Office
Manager/Supervisor
title : Assistant Treasurer
Position type:
Full-time regular
Work environment:
Hybrid
About ChildFund ChildFund is a child-focused international development organization that works in 23 countries to connect children with the people, resources and institutions they need to grow up healthy, educated, skilled and safe, no matter where they are.
ChildFund’s Values We aspire for every person in our organization—program participants, supporters, staff, and volunteers alike—to feel free, safe, and confident to be themselves. In our culture of connection, you will have ample opportunity to grow, learn, and lead while contributing your talents and innovations to our inspiring mission.
ChildFund’s Commitment ChildFund International has a zero-tolerance policy regarding sexual exploitation, abuse and harassment (SEAH) and all other forms of harm by its staff, partners, and other representatives in the delivery of its mission and services for children. ChildFund is committed to creating a safe environment in the workplace as well as in the communities where it delivers programs and services. ChildFund expects every staff member, partner, and representative to adhere to this commitment and to ensure all organizational policies and standards are followed. This position is subject to a range of vetting checks, including a criminal records check and/or disclosure to ensure program participants are safeguarded.
About This Role This is a full-time, hybrid position located in Richmond, VA. Candidates outside of the Richmond, VA metro area will not be considered. The anticipated salary range for this position is $53,000-$68,000 per year.
The International Treasury Analyst plays a critical role in handling daily global cash operations to ensure sufficient working capital for all ChildFund’s Country Offices and programming partners. This position supports the organization’s international financial infrastructure by overseeing liquidity, maintaining banking/broker relationships, executing foreign currency transactions, and ensuring compliance with policies and relevant regulations.
The role requires strong coordination and communication skills within a multicultural environment. It involves consolidating financial data and funds from many partners, reconciling financial reports, and maintaining robust cash control and security measures. In addition to handling core treasury functions, the Analyst will contribute to financial reporting, internal control environment, and process improvement initiatives, including the use of AI tools and automation. The position also supports ad hoc projects and backs the Domestic Analyst on daily cash management activities.
Required Experience and Education
A bachelor’s degree in business administration, economics, accounting or finance or equivalent combination of experience and education. Professional certifications such as Certified Treasury Professional (CTP), Financial Planning & Analysis Certified (FPAC) strongly preferred. MBA, MPA or other graduate level leadership degrees a plus. At least 4 years of experience in cash management or financial operations. Experience in multinational organization(s) is a plus. Experience with AI tools and their applications to finance is a plus. Primary Responsibilities Global Cash Management
Monitor international cash positions/needs and liquidity across multiple entities and currencies. Support global cash forecasting and variance analysis. Banking & Treasury Operations
Work with international banking, investment, and currency trading partners. Execute and track wire transfers, FX transactions, and intercompany funding. Utilize online banking systems and Treasury Workstation Systems for transaction processing and reporting. Foreign Exchange (FX) & Risk Management
Forecast budgeted FX rates. Execute FX trades using trading platforms such as 360T. Assist in implementing risk mitigation policies and procedures. Compliance & Reporting
Ensure compliance with international financial regulations. Enforce internal controls and policies, including anti-money laundering, terrorism and debarment screening, and banking policy adherence. Prepare and present treasury reports to senior management. Process Improvement
Identify and implement improvements in treasury processes and systems. Update, maintain, and draft treasury policies and procedures. Support automation and integration of treasury tools and platforms. Leverage AI tools and applications to enhance financial analysis and decision-making. Required
Competencies ChildFund’s Core Competencies
Teamwork: the ability to work effectively and collaborate with others; values and respects individual differences. Communication: demonstrates empathy and tact when communicating with others and uses a storytelling approach when appropriate. Results orientation: gets things done; takes proactive steps to achieve organizational goals and quality standards. Decision making: uses good judgement, critical thinking, and non-traditional ways to evaluate problems and opportunities; reflects and innovates to improve decisions and outcomes. Resilience: thrives and grows in rapidly changing, demanding, and complex environments. Digital literacy: adopts and champions new technology to relevant contexts, stays aware of technological trends and embraces technological solutions to business challenges. Other Required Competencies
Familiarity with online banking systems. Strong analytical and problem-solving skills. Ability to work independently in a fast-paced, global setting and a hybrid work environment. Understanding of AI tools and applications in finance. Other Preferred Competencies:
Understanding of international banking, financial and currency (FX) markets a plus.
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International Office
Manager/Supervisor
title : Assistant Treasurer Position type:
Full-time regular
Work environment:
Hybrid Position title:
Analyst, Treasury
Location : Richmond, VA
ChildFund office:
International Office
Manager/Supervisor
title : Assistant Treasurer
Position type:
Full-time regular
Work environment:
Hybrid
About ChildFund ChildFund is a child-focused international development organization that works in 23 countries to connect children with the people, resources and institutions they need to grow up healthy, educated, skilled and safe, no matter where they are.
ChildFund’s Values We aspire for every person in our organization—program participants, supporters, staff, and volunteers alike—to feel free, safe, and confident to be themselves. In our culture of connection, you will have ample opportunity to grow, learn, and lead while contributing your talents and innovations to our inspiring mission.
ChildFund’s Commitment ChildFund International has a zero-tolerance policy regarding sexual exploitation, abuse and harassment (SEAH) and all other forms of harm by its staff, partners, and other representatives in the delivery of its mission and services for children. ChildFund is committed to creating a safe environment in the workplace as well as in the communities where it delivers programs and services. ChildFund expects every staff member, partner, and representative to adhere to this commitment and to ensure all organizational policies and standards are followed. This position is subject to a range of vetting checks, including a criminal records check and/or disclosure to ensure program participants are safeguarded.
About This Role This is a full-time, hybrid position located in Richmond, VA. Candidates outside of the Richmond, VA metro area will not be considered. The anticipated salary range for this position is $53,000-$68,000 per year.
The International Treasury Analyst plays a critical role in handling daily global cash operations to ensure sufficient working capital for all ChildFund’s Country Offices and programming partners. This position supports the organization’s international financial infrastructure by overseeing liquidity, maintaining banking/broker relationships, executing foreign currency transactions, and ensuring compliance with policies and relevant regulations.
The role requires strong coordination and communication skills within a multicultural environment. It involves consolidating financial data and funds from many partners, reconciling financial reports, and maintaining robust cash control and security measures. In addition to handling core treasury functions, the Analyst will contribute to financial reporting, internal control environment, and process improvement initiatives, including the use of AI tools and automation. The position also supports ad hoc projects and backs the Domestic Analyst on daily cash management activities.
Required Experience and Education
A bachelor’s degree in business administration, economics, accounting or finance or equivalent combination of experience and education. Professional certifications such as Certified Treasury Professional (CTP), Financial Planning & Analysis Certified (FPAC) strongly preferred. MBA, MPA or other graduate level leadership degrees a plus. At least 4 years of experience in cash management or financial operations. Experience in multinational organization(s) is a plus. Experience with AI tools and their applications to finance is a plus. Primary Responsibilities Global Cash Management
Monitor international cash positions/needs and liquidity across multiple entities and currencies. Support global cash forecasting and variance analysis. Banking & Treasury Operations
Work with international banking, investment, and currency trading partners. Execute and track wire transfers, FX transactions, and intercompany funding. Utilize online banking systems and Treasury Workstation Systems for transaction processing and reporting. Foreign Exchange (FX) & Risk Management
Forecast budgeted FX rates. Execute FX trades using trading platforms such as 360T. Assist in implementing risk mitigation policies and procedures. Compliance & Reporting
Ensure compliance with international financial regulations. Enforce internal controls and policies, including anti-money laundering, terrorism and debarment screening, and banking policy adherence. Prepare and present treasury reports to senior management. Process Improvement
Identify and implement improvements in treasury processes and systems. Update, maintain, and draft treasury policies and procedures. Support automation and integration of treasury tools and platforms. Leverage AI tools and applications to enhance financial analysis and decision-making. Required
Competencies ChildFund’s Core Competencies
Teamwork: the ability to work effectively and collaborate with others; values and respects individual differences. Communication: demonstrates empathy and tact when communicating with others and uses a storytelling approach when appropriate. Results orientation: gets things done; takes proactive steps to achieve organizational goals and quality standards. Decision making: uses good judgement, critical thinking, and non-traditional ways to evaluate problems and opportunities; reflects and innovates to improve decisions and outcomes. Resilience: thrives and grows in rapidly changing, demanding, and complex environments. Digital literacy: adopts and champions new technology to relevant contexts, stays aware of technological trends and embraces technological solutions to business challenges. Other Required Competencies
Familiarity with online banking systems. Strong analytical and problem-solving skills. Ability to work independently in a fast-paced, global setting and a hybrid work environment. Understanding of AI tools and applications in finance. Other Preferred Competencies:
Understanding of international banking, financial and currency (FX) markets a plus.
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