半導体製造ラボ

公式求人詳細

Dir, Global Treasury

ルネサスの公式求人。勤務地は東京都、採用区分は中途、職種カテゴリは未分類です。

分類・ページ生成
2026/07/27
求人DB生成
2026/07/25

応募判断に必要な情報を先に確認

必須・歓迎・働き方

公式求人票の明記内容のみ

必須 応募条件

  • Bachelor’s degree in Finance, Accounting, Economics, Business Administration, or related field.
  • Minimum 12–15 years of progressive experience in treasury, corporate finance, banking, or related finance roles.
  • Significant experience in a multinational manufacturing or technology company.
  • Strong knowledge of global cash management, FX risk management, debt financing, banking, and treasury controls.
  • Experience managing treasury activities across multiple jurisdictio…

歓迎 あると活かせる経験

歓迎条件の明記なし。

働き方 勤務条件

勤務地
東京都
リモート
在宅・出社併用
勤務帯
記載なし
出張
記載なし
オンコール
記載なし
転居
記載なし
想定役割
記載なし
転勤
記載なし

公式募集要項で最新条件を確認

求人市場で見るこのポジション

企業・同職種・必須スキルの比較

求人市場分析を見る

企業 × 関連工程

同社の公開求人全体

純増減 +32件

当DBの直近90日観測で、ルネサスは新規 32件・終了 0件。現在公開 32件です。

同職種の掲載給与

比較対象未分類

給与確認済みが3件未満のため、中央値は表示しません。

類似求人の必須スキル

比較対象未分類

必須欄だけで比較できる共通スキルが不足しています。

新規・終了は当DBでの観測差分であり、市場成長や採用需要の増減を単独では示しません。 直近30日は収集対象拡張の影響を含みます。

企業公式情報から整理

募集要項

企業の公式採用ページまたは公式に委任された採用システムの公開情報を、項目別に整理しています。 確認できない条件は推測せず、公式募集要項への案内を表示します。

3/8 公式情報で確認できた項目

仕事内容

公式情報あり

Job Description

Position Summary The Global Treasury Director will lead the company’s global treasury function, covering cash and liquidity management, funding, financial risk management, banking relationships, capital structure support, treasury governance, and insurance-related coordination.This role is responsible for ensuring that the company maintains sufficient liquidity, optimizes global cash deployment, manages foreign exchange and interest rate risks, and supports strategic financing initiatives aligned with the company’s global growth strategy.Given the company’s semiconductor manufacturing and operation footprint across Japan, Asia, Europe, and the Americas, the role requires strong experience in global cash management, cross-border funding, FX exposure management, bank negotiations, insurance program management, and treasury operations in a complex multinational environment.Key Responsibilities1. Global Cash and Liquidity ManagementLead global cash forecasting, liquidity planning, and cash visibility across all regions.Ensure adequate liquidity to support manufacturing operations, capital expenditures, R&D investments, and working capital needs.Optimize global cash allocation across subsidiaries while considering tax, regulatory, and operational constraints.Oversee cash pooling, intercompany funding, dividend planning, and repatriation strategies.Improve the accuracy and discipline of short-term and long-term cash forecasting.2. Funding and Capital StructureSupport the CFO and senior management in developing and executing global funding strategies.Evaluate financing alternatives together with other functions within the company, including bank loans, bonds, hybrid financing, and other capital market instruments.Manage debt maturity profiles, refinancing plans, borrowing capacity, and covenant compliance.Lead negotiations with banks and financial institutions to secure favorable financing terms.Provide analysis and recommendations on capital structure optimization, leverage, cost of capital, and liquidity buffers.Structure, evaluate, and negotiate acquisition finance schemes for strategic M&A transactions, including bridge loans, term loans, committed acquisition facilities, bonds, convertible bonds, hybrid financing, equity linked instruments and other financing alternatives, in close coordination with internal stakeholders and external financial advisors.3. Foreign Exchange and Financial Risk ManagementLead global FX risk management across transactional, translational, and economic exposures.Develop and implement hedging strategies for major currencies relevant to the business.Oversee execution of FX forwards, swaps, options, and other hedging instruments as appropriate.Monitor interest rate risk, counterparty risk, commodity-related financial exposure, and other market risks.Ensure compliance with internal treasury policies and applicable accounting requirements for hedge accounting where relevant.4. Bank Relationship ManagementManage strategic relationships with global and regional banks.Lead bank negotiations, including pricing, credit facilities, transaction banking services, and FX execution terms.Rationalize and optimize the global bank account structure to improve control, efficiency, and visibility.Evaluate banking partners based on service quality, credit capacity, geographic coverage, pricing, and strategic value.Maintain strong external relationships with banks, rating agencies, auditors, insurance brokers, and other financial advisors.5. Treasury Operations and GovernanceEstablish and maintain global treasury policies, procedures, and controls.Ensure strong governance over payments, bank account administration, manual payments, signatory controls, and fraud risk mitigation.Drive standardization and automation of treasury processes across regions.Oversee treasury systems, bank connectivity, payment platforms, and ERP integration.Partner with Accounting, Tax, Legal, Procurement, Internal Audit, and IT to ensure robust treasury operations and compliance.6. Insurance and Risk FinancingOversee or coordinate global insurance programs, including property, casualty, D&O, cyber, and other corporate insurance programs.Work with insurance brokers and internal stakeholders to assess coverage adequacy, risk retention levels, deductibles, and premium efficiency.Support claims management and insurance renewal processes.Evaluate risk financing strategies aligned with the company’s operational and financial risk profile.7. Strategic Initiatives and TransformationLead treasury transformation initiatives to enhance efficiency, control, analytics, and scalability.Support global ERP transformation projects, treasury management system implementation, and bank connectivity optimization.Develop strategic treasury analytics and dashboards for senior management.Identify opportunities to centralize, automate, and digitize treasury operations.Support M&A, post-merger integration, business restructuring, and regional expansion from a treasury perspective.8. Stakeholder Management and LeadershipAct as a strategic treasury advisor to senior management.Provide treasury updates and recommendations to the CFO and executive leadership.Lead and develop a global treasury team with strong technical capability and business partnership mindset.Collaborate effectively with regional finance teams and business leaders.Build organizational capability in treasury governance, risk management, and financial discipline.QualificationsRequired QualificationsBachelor’s degree in Finance, Accounting, Economics, Business Administration, or related field.Minimum 12–15 years of progressive experience in treasury, corporate finance, banking, or related finance roles.Significant experience in a multinational manufacturing or technology company.Strong knowledge of global cash management, FX risk management, debt financing, banking, and treasury controls.Experience managing treasury activities across multiple jurisdictio…

対象となる方

公式ページで確認

当サイトが取得した公式公開情報では確認できません。応募前に最新の公式募集要項をご確認ください。

勤務時間

公式ページで確認

当サイトが取得した公式公開情報では確認できません。応募前に最新の公式募集要項をご確認ください。

給与

公式ページで確認

当サイトが取得した公式公開情報では確認できません。応募前に最新の公式募集要項をご確認ください。

待遇・福利厚生

公式ページで確認

当サイトが取得した公式公開情報では確認できません。応募前に最新の公式募集要項をご確認ください。

休日・休暇

公式ページで確認

当サイトが取得した公式公開情報では確認できません。応募前に最新の公式募集要項をご確認ください。

求人情報

求人名
Dir, Global Treasury
会社名
ルネサス
半導体直接関連度
C:半導体企業の一般職
職種カテゴリ
未分類
勤務地
東京都
都道府県
東京都
市区町村
江東区
地域区分
関東
公式記載の勤務地
東京都江東区
勤務地確認
通常
採用区分
中途
雇用形態
正社員
給与
公式募集要項で確認
求人取得日
2026/07/17
最終監査日
2026/07/17
掲載状態
募集中
公式募集要項
掲載元を開く

5軸分類

企業カテゴリ
IDM
職種ファミリー
未分類
具体職種
職種未分類
対象製品
対象製品未特定
関連工程・技術
工程未分類
半導体直接関連度
C:半導体企業の一般職
関連職種
未分類 / 職種未分類
関連工程
工程未分類
関連技術
未分類
勤務地エリア
関東

一部分類項目は未確認です。公式募集要項と確認根拠を併せて確認してください。

半導体直接関連度の判定根拠

C:半導体企業の一般職 — 半導体関連企業の求人だが、仕事内容に半導体固有の接点が確認できない仕事

判定の確度:C(求人業務に半導体固有の接点なし)

Position Summary The Global Treasury Director will lead the company’s global treasury function, covering cash and liquidity management, funding, financial risk management, banking relationships, capital structure support