Lead treasury operations and strategic initiatives in a complex, global environment requiring collaboration across finance, accounting, and executive leadership alongside the U.S. based Treasurer and CFO in partnership with the global accounting team
Supervise and mentor the Treasury Accountant
Build and maintain strong banking relationships and ensure compliance with debt covenants
Manage foreign exchange (FX) risk strategies, including monitoring rates and supporting hedging activities
Support share repurchase programs and capital allocation strategies to align with corporate objectives
Optimize cash investments and oversee daily cash positioning and forecasting
Ensure SOX compliance and maintain treasury policies and procedures
Contribute to the accounting close and oversee the contract review process
Present treasury metrics and insights to management and collaborate across teams to directly influence financial performance
Drive process improvements and support special projects, including human oversight of AI-powered tools
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