The Director, Global Treasury & Insurance leads the company's global treasury and insurance team for the One SoftBank platform, providing strategic and operational leadership across corporate treasury, fund treasury, liquidity management, banking, capital markets, treasury operations, insurance, and financial risk management.
The role oversees treasury activities across investment funds and operating entities spanning multiple jurisdictions. Working closely with executive leadership, the Director drives liquidity strategy, capital deployment, investment funding, financing initiatives, banking and payment infrastructure, insurance risk management, and treasury transformation to support business growth while safeguarding financial assets.
Reporting to the Finance Partner, the Director serves as the senior treasury leader for the One SoftBank platform and trusted advisor to Investment Teams, Capital Strategies, Accounting, FP&A, Tax, Legal, HR, and cross-functional stakeholders.
Responsibilities
- Lead global treasury function across corporate and fund treasury, overseeing liquidity, banking, capital markets, treasury operations, and insurance for a complex, multi-entity international investment platform while building and developing a high-performing treasury organization
- Develop and execute global treasury strategy, governance framework, operating model, and scalable infrastructure to support business growth, new investment platforms, and evolving global operating environment
- Direct enterprise-wide global liquidity management across multiple legal entities and international jurisdictions, including daily cash positioning, cash forecasting, working capital optimization, intercompany funding, investment of excess cash, and multi-currency cash management and payment operations
- Manage financings and support capital markets activities, including revolving credit facilities, debt issuances, project financing, capital structure optimization, and strategic financing initiatives that support enterprise and investment objectives
- Lead global fund treasury activities throughout investment lifecycle, including capital calls, investor distributions, investment funding, financing transactions, foreign exchange settlements, and complex cross-border cash movements while ensuring compliance with partnership agreements and fund governance requirements
- Own company's global banking, payments, and treasury technology ecosystem, including banking relationships, account architecture, payment infrastructure, custody services, treasury management systems, bank connectivity, payment automation, AI-enabled reporting, and process digitization to drive operational excellence and scalability
- Lead global insurance risk management program, including insurance strategy, broker and carrier relationships, policy placement and renewals, claims management, coverage optimization, and enterprise risk mitigation to protect company assets, operations, and investment activities
- Partner closely with executive leadership and cross-functional stakeholders to execute transactions, optimize funding strategies, support strategic capital deployment, and enable business growth across multiple regions
- Lead treasury support for strategic initiatives, including acquisitions, joint ventures, restructurings, new investment platforms, portfolio company transactions, and international expansion by designing and implementing treasury, banking, funding, payment, insurance, and governance infrastructure for new entities and jurisdictions
- Establish and maintain best-in-class treasury governance through robust policies, internal controls, regulatory compliance, risk management, executive reporting, KPIs, and operational processes that strengthen financial resilience, safeguard assets, and support informed decision-making across global organization
Requirements
- Bachelor's degree in Finance, Accounting, Economics, Business Administration, or related field; MBA, CFA, CTP, or other relevant professional designation preferred
- 12+ years of progressive treasury experience, including at least 5 years leading global treasury functions within investment management, private equity, venture capital, infrastructure, real estate, financial services, or other capital-intensive organization
- Demonstrated experience leading treasury across complex, multi-entity, multinational organizations, with responsibility for global liquidity management, treasury operations, banking, and governance
- Deep expertise in corporate treasury, including cash management, liquidity planning, cash forecasting, working capital optimization, intercompany funding, foreign exchange, treasury risk management, payment operations, and financial controls
- Strong capital markets and financing experience, including revolving credit facilities, debt issuances, project financing, capital structure optimization, banking relationship management, and strategic financing transactions
- Proven experience supporting alternative investment funds (private equity, infrastructure, venture capital, real estate, sovereign wealth, or other asset management structures), including capital calls, investor distributions, investment funding, fund financing, and coordination with fund administration
- Demonstrated experience managing global banking relationships, treasury technology, and payment infrastructure, including treasury management systems (TMS), bank connectivity, payment automation, treasury transformation initiatives, and AI-enabled reporting
- Experience leading enterprise insurance and risk management programs, including broker and carrier relationships, policy placement and renewals, claims management, and insurance strategy for complex organizations
- Strong understanding of accounting principles, financial reporting, internal controls, regulatory compliance, and treasury governance within global operating environment
- Proven leadership, communication, and stakeholder management skills with ability to build high-performing teams, influence executive leadership, and collaborate effectively across Investments, Finance, Accounting, Tax, Legal, Fund Administration, and external financial institutions while balancing strategic priorities with operational excellence
