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 Responsibilities

1. Global Cash and Liquidity Management

  • Lead 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 Structure

  • Support 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 Management

  • Lead 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 Management

  • Manage 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 Governance

  • Establish 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 Financing

  • Oversee 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 Transformation

  • Lead 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 Leadership

  • Act 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.

Qualifications

Required Qualifications

  • 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 jurisdictions and currencies.
  • Proven track record of negotiating with banks and financial institutions.
  • Strong understanding of financial statements, accounting, tax, and legal implications of treasury transactions.
  • Business-level fluency in English.
  • Japanese language capability is highly preferred, especially for interaction with Japan headquarters and local financial institutions.

Preferred Qualifications

  • Experience in the semiconductor, electronics, or high-tech manufacturing industry.
  • Experience working in a Japanese-headquartered multinational company.
  • Experience with SAP, S/4HANA, treasury management systems, bank connectivity platforms, or payment factory structures.
  • Experience in capital markets transactions, credit rating agency interactions, or large-scale refinancing.
  • Knowledge of IFRS.
  • Professional certifications such as CFA, CPA, CMA, CTP, or MBA are a plus.

Additional Information

ルネサスは、「To Make Our Lives Easier 」(人々の暮らしを楽“ラク”にする)というPurposeの下、組み込み半導体ソリューションを提供します。高品質とシステムレベルノウハウを兼ね備えた組み込み半導体のリーダーとして、自動車、産業、インフラ・IoT分野向けに、ハイパフォーマンスコンピューティング、組み込みプロセッシング、アナログ&コネクティビティ、そしてパワーを含めた幅広い製品ポートフォリオを軸とした、スケーラブルで包括的なソリューションを提供しています。

ルネサスは、30か国以上で22,000 人を超える多様性あふれる従業員と共に、限界に挑戦しながら、デジタライゼーションを通じてユーザエクスペリエンスを充実化させ、新たなイノベーションの時代を切り開いていきます。そして世界中の人々やコミュニティの未来のために、持続可能で省エネ効果の高いソリューションの開発に全力で取り組み、「To Make Our Lives Easier」を実現します。

ルネサスで実現できること

  • キャリアをスタート、そしてキャリアアップ:4つのプロダクトグループをはじめ、さまざまな部門において技術職として、また幅広いビジネスの経験を積むことができます。ハードウェア、ソフトウェアの専門知識を深めたり、新しいことにチャレンジしたりする機会があります。
  • やりがいとインパクトのある仕事をする: 革新的な製品とソリューションの開発に関わることにより、世界中のお客様のニーズに応えると同時に、人々の生活をより便利で安全かつ安心なものにすることに貢献できます。
  • 「ウェルビーイング」に焦点を置いた環境で最大限に能力を発揮する:ルネサスでは、リモートワーク制度などによる柔軟な勤務体制づくり、また従業員リソースグループの積極的な活動をサポートするなど、インクルーシブな職場環境構築を目指しています。従業員を第一に考えたカルチャーとグローバルなサポート体制が、入社後すぐに活躍できる環境を提供します。

自分の力で成功を掴み、キャリアを築く準備はできていますか?

ルネサスで一緒に未来を形づくっていきましょう

当社では、ハイブリッド勤務モデルを採用しており、従業員は週に2日間リモートワークを行うことができます。同時に、残りの日はチームとしてオフィスに集まり、協働を強化しています。出社指定日は火曜日から木曜日で、イノベーション、コラボレーション、そして継続的な学習に取り組む日としています。


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