Job Summary
A company is looking for a Manager, Treasury.
Key Responsibilities
- Represent treasury in cross-functional initiatives to manage liquidity and support company growth
- Prepare cash planning and forecasting models and oversee the company's line of credit facility
- Manage ongoing bank relationships and foreign exchange exposure while ensuring compliance with internal controls
Required Qualifications
- Post-secondary degree in finance, business, math, or accounting
- 5+ years of experience in a Treasury role, preferably in a high-growth environment
- Proficiency in cash planning, foreign exchange, and investment management
- Expert proficiency in Excel/Google Sheets and basic to intermediate SQL knowledge
- Familiarity with financial systems such as Netsuite, G Treasury, or Kyriba preferred
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