Global Treasury Manager

New York, New York

Vaco by Highspring
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We are seeking a highly-motivated and experienced Treasury professional to help build a best-in-class treasury organization to support the Company's growth and strategy. The Global Treasury Manager is an integral member of the Corporate Treasury Team and will oversee global treasury operations including inhouse banking and have knowledge of global bank account management. Reporting to the Director, Treasury, this position requires strong analytical skills, strong attention to detail and critical thinking. The Treasury Manager will collaborate with internal stakeholders (tax, legal, accounting, IT, business segments) and external partners (including relationship banks, treasury service providers) across a variety of corporate treasury activities. The Treasury Manager will manage daily treasury operations activities, foreign exchange risk, global bank accounts, global liquidity, and payments. This position will seek to build efficiencies and improve Treasury processes, documentation, policies and procedures, management reporting, and assist with rollout of our Treasury workstation.
Responsibilities
Oversee global cash management including global cash positioning, global cash forecasting, and payments
Manage bank relationships for treasury operations
Collaborate across F&A function and effectively communicate to Treasury Director on key operational issues
Create and maintain short and long-term cash flow forecasting models and dashboards, including cash position reports to monitor activity and liquidity, and variance analyses
Collaborate with Financial Planning and Analysis team on treasury related assumptions for budget and LRP
Assist with annual FBAR reporting
Assist with rollout of our treasury management system
Produce internal reports for cash and debt activity, and schedules for annual statements
Assist with liquidity related inputs for debt covenant compliance package
Work closely with our Debt Capital markets team to improve Free Cash Flow model
Assist with debt administration activities including notices, interest payments, interest expense accrual reports, loan holder analysis and record keeping
Perform ad hoc analysis as needed for various strategic treasury projects and initiatives
Assist with treasury operations related projects to support company's growth and expansion
Manage Bloomberg FXGO platform for currency trades
Develop and maintain policies and procedures
Manage 2-3 treasury analysts
Qualifications
5+ years of experience in corporate treasury; FP&A experience is plus
BS/BA degree in finance or related area
CTP or CFA preferred
Experience with SOX controls and controls / risk mindset
Solid financial modeling skills
Experience with TMS and/or TMS implementation
Experience with Bloomberg terminal
Microsoft PowerPoint skills to develop strong treasury decks
Self-starter
Strong attention to detail
Ability to manage multiple priorities
Excellent written and verbal communication skills.
Location: This is a hybrid role based out of our New York office, requiring 4 days a week on-site.

Date Posted: 04 June 2025
Job Expired - Click here to search for similar jobs