Senior Manager, Corporate Treasury
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Job Description
We are looking for a Senior Manager, Corporate Treasury to work for our client. The ideal candidate aligns with the responsibilities and qualifications outlined below.
Responsibilities:
- Lead and manage daily cash operations, including liquidity forecasting, cash positioning, and short-term investments.
- Oversee banking relationships and negotiate terms to optimize service and cost efficiency.
- Develop and implement treasury policies, procedures, and controls to ensure compliance and mitigate financial risk.
- Support capital markets activities, including debt issuance, credit facilities, and interest rate risk management.
- Collaborate with internal stakeholders (Finance, Accounting, Tax, Legal) to support strategic initiatives and ensure alignment with treasury objectives.
- Monitor global financial markets and assess potential impacts on the company’s cash flow and capital structure.
- Manage treasury systems and drive automation and process improvements.
- Prepare and present treasury reports and analysis to senior leadership.
Qualifications:
- Bachelor’s degree in Finance or Accounting
- 7+ years of progressive experience in corporate treasury or financial management.
- Strong understanding of cash management, banking operations, capital markets, and financial risk management.
- Experience with treasury management systems (e.g., Kyriba, SAP, or similar).
- Excellent analytical, communication, and leadership skills.
- Proven ability to manage multiple priorities in a fast-paced environment.
- High level of integrity and attention to detail.